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The Risk Modeling Evaluation Handbook: Rethinking Financial Risk Management Methodologies In The Global Capital Markets



Год выпуска: 2011
Издательство:
Страниц: 528
ISBN: 9780071663700
Описание
The first in-depth analysis of inherent deficiencies in present practices “A book like this helps reduce the chance of a future breakdown in risk management.” Professor Campbell R. Harvey, the Fuqua School of Business, Duke University “A very timely and extremely useful guide to the subtle and often difficult issues involved in model risk—a subject which is only now gaining the prominence it should always have had.” Professor Kevin Dowd, Nottingham University Business School, the University of Nottingham “This book collects authoritative papers on a timely and important topic . . . and should lead to many new insights.” Professor Philip Hans Franses, Erasmus School of Economics, Erasmus University “Inadequate valuation and risk management models have played their part in triggering the recent economic turmoil felt around the world. This timely book, written by experts in the field of model risk, will...


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Эльвира, 31.03
Здравствуйте Юлия!!!! У меня была курсовая по ИГПЗС! Преподаватель ее и сказала...что в целом хорошая...но нужно доработать....т.е письменно ответить на вопросы!!!!