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Language: en
Pages: 166
Pages: 166
Type: BOOK - Published: 2020-04-06 - Publisher: Springer Nature
This book is about how extreme and systemic risk can be analyzed in an integrated way. Risk analysis is understood to include measurement, assessment as well as
Language: en
Pages: 93
Pages: 93
Type: BOOK - Published: 2013-02-27 - Publisher: International Monetary Fund
The recent global financial crisis has forced a re-examination of risk transmission in the financial sector and how it affects financial stability. Current macr
Language: en
Pages: 166
Pages: 166
Type: BOOK - Published: 2020 - Publisher:
This book is about how extreme and systemic risk can be analyzed in an integrated way. Risk analysis is understood to include measurement, assessment as well as
Language: en
Pages: 286
Pages: 286
Type: BOOK - Published: 2013-01-24 - Publisher: University of Chicago Press
In the aftermath of the recent financial crisis, the federal government has pursued significant regulatory reforms, including proposals to measure and monitor s
Language: en
Pages: 638
Pages: 638
Type: BOOK - Published: 2016-10-17 - Publisher: John Wiley & Sons
A guide to the growing importance of extreme value risk theory, methods, and applications in the financial sector Presenting a uniquely accessible guide, Extrem