Innovations in Quantitative Risk Management : TU München, September 2013

Language: English

Published by Springer, 2016

3319358618 / 9783319358611

Series: Book 112 of 464 - Springer Proceedings in Mathematics & Statistics

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Druck auf Anfrage Neuware - Printed after ordering - Quantitative models are omnipresent -but often controversially discussed- in todays risk management practice. New regulations, innovative financial products, and advances in valuation techniques provide a continuous ow of challenging problems for financial engineers and risk managers alike. Designing a sound stochastic model requires finding a careful balance between parsimonious model assumptions, mathematical viability, and interpretability of the output. Moreover, data requirements and the end-user training are to be considered as well.The KPMG Center of Excellence in Risk Management conference Risk Management Reloaded and this proceedings volume contribute to bridging the gap between academia -providing methodological advances- and practice -having a firm understanding of the economic conditions in which a given model is used. Discussed fields of application range from asset management, credit risk, and energy to risk management issues in insurance. Methodologically, dependence modeling, multiple-curve interest rate-models, and model risk are addressed. Finally, regulatory developments and possible limits of mathematical modeling are discussed.…

Seller Inventory # 9783319358611

Title
Innovations in Quantitative Risk Management : TU München, September 2013
Author
Rudi Zagst
Publisher
Springer
Publication year
2016
Condition
Neu
Binding
Taschenbuch
Language
English
ISBN 10
3319358618
ISBN 13
9783319358611
Item weight
680 grams
Dimensions
235x155x25 mm
Series
Book 112 of 464: Springer Proceedings in Mathematics & Statistics

AHA-BUCH GmbH

Einbeck, Germany

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