Alternative Approach to Quantitative Risk Analysis. Application of Extreme Value Theory based measurement of Value at Risk and its comparison to conventional risk measures

Alternative Approach to Quantitative Risk Analysis. Application of Extreme Value Theory based measurement of Value at Risk and its comparison to conventional risk measures
Год
 
Страниц
 
116
ISBN
 
9783639235678
Издатель
 
Книга по требованию

Описание:

The role of Risk Management has grown dramatically after recent financial crisis, triggered by a liquidity shortfall in the United States banking system. Among various proposed risk measures the Value at Risk (VaR) is probably the most essential part...

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