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This book offers a comprehensive guide to the modelling of operational risk using possibility theory. It provides a set of methods for;
Vergelijkbare producten zoals Quantitative Modeling of Operational Risk in Finance and Banking Using Possibili
measurement and modeling of operational risk in both the banking and insurance sectors. Beginning with a foundation for operational risk modeling and;
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Using real-life examples from the banking and insurance industries, Quantitative Operational Risk Models details how internal data can be;
Vergelijkbare producten zoals Quantitative Operational Risk Models
Using real-life examples from the banking and insurance industries, Quantitative Operational Risk Models details how internal data can be;
Vergelijkbare producten zoals Quantitative Operational Risk Models
This book offers a comprehensive guide to the modelling of operational risk using possibility theory. It provides a set of methods for;
Vergelijkbare producten zoals Quantitative Modeling of Operational Risk in Finance and Banking Using Possibility Theory
risk and introduced corresponding capital requirements. Many banks are undertaking quantitative modelling of operational risk using the Loss;
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Two cutting-edge guides for the theories, applications, and statistical methodologies essential to operational risk and heavy tailed risk;
Vergelijkbare producten zoals Fundamental Aspects of Operational Risk and Insurance Analytics and Advances in Heavy Tailed Risk Modeling
heavy tailed risk modeling Focusing on the quantitative aspects of heavy tailed loss processes in operational risk and relevant insurance;
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of Operational Risk Management: A Complete Guide for Banking and Fintech, accomplished risk executive and expert Philippa Girling delivers an insightful;
Vergelijkbare producten zoals Operational Risk Management - A Complete Guide for Banking and Fintech, Second Edition
banking risk problems, measures and data for representing the main banking risk sources, and the major problems researchers are likely to;
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A one-stop guide for the theories, applications, and statistical methodologies essential to operational risk Providing a complete;
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simulation modeling and analysis can help you solve risk management problems related to market, credit, operational, business, and strategic risk;
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simulation modeling and analysis can help you solve risk management problems related to market, credit, operational, business, and strategic risk;
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necessary for success in investment and quantitative finance, covering topics applicable to portfolio theory, investment banking, option pricing;
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Worldwide banks are keen to find ways of effectively measuring and managing operational risk , yet many find themselves poorly equipped to;
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While operational risk has long been regarded as a mere part of other risks--outside the realm of credit and market risk--it has quickly;
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, accounting, mathematics, and operational research. While many texts are devoted to these disciplines, few deal with quantitative equity investing;
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for market, credit and operational risk modelling. It places standard industry approaches on a more formal footing and explores key concepts;
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institutions. Using the latest theoretical models, new perspectives are brought to topics such as e-finance and e-banking, Islamic banking, capital;
Vergelijkbare producten zoals Emerging Trends in Banking and Finance
institutions. Using the latest theoretical models, new perspectives are brought to topics such as e-finance and e-banking, Islamic banking, capital;
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This textbook presents a coherent and robust structure for integrated risk management in the context of operations and finance. It explains;
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Operational risk is one of the oldest risks in the banking sector, and yet regulatory bodies including the Basle Committee are still;
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Operational risk is one of the oldest risks in the banking sector, and yet regulatory bodies including the Basle Committee are still;
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and modeling of financial and commodity derivatives, their institutional framework and risk management. It provides an overview of the new;
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and modeling of financial and commodity derivatives, their institutional framework and risk management. It provides an overview of the new;
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Practical Spreadsheet Modeling Using @Risk provides a guide of how to construct applied decision analysis models in spreadsheets. The focus;
Vergelijkbare producten zoals Practical Spreadsheet Modeling Using @Risk
Practical Spreadsheet Modeling Using @Risk provides a guide of how to construct applied decision analysis models in spreadsheets. The focus;
Vergelijkbare producten zoals Practical Spreadsheet Modeling Using @Risk
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