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Validation of Risk Management Models for Financial Institutions: Theory and Practice - Hardcover

 
9781108497350: Validation of Risk Management Models for Financial Institutions: Theory and Practice

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9781108608602: Validation of Risk Management Models for Financial Institutions: Theory and Practice

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Publisher: Cambridge University Press, 2022
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Lynch, David (EDT); Hasan, Iftekhar (EDT); Siddique, Akhtar (EDT)
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Published by Cambridge University Press, 2023
ISBN 10: 1108497357 ISBN 13: 9781108497350
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Hardcover. Condition: new. Hardcover. Financial models are an inescapable feature of modern financial markets. Yet it was over reliance on these models and the failure to test them properly that is now widely recognized as one of the main causes of the financial crisis of 20072011. Since this crisis, there has been an increase in the amount of scrutiny and testing applied to such models, and validation has become an essential part of model risk management at financial institutions. The book covers all of the major risk areas that a financial institution is exposed to and uses models for, including market risk, interest rate risk, retail credit risk, wholesale credit risk, compliance risk, and investment management. The book discusses current practices and pitfalls that model risk users need to be aware of and identifies areas where validation can be advanced in the future. This provides the first unified framework for validating risk management models. Validation is an essential part of modelling risk management at financial institutions. This book provides the first unified framework for validating risk management models. It covers all of the major risk areas, including market risk, interest rate risk, retail credit risk, wholesale credit risk, compliance risk, and investment management. Shipping may be from multiple locations in the US or from the UK, depending on stock availability. Seller Inventory # 9781108497350

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Lynch, David (EDT); Hasan, Iftekhar (EDT); Siddique, Akhtar (EDT)
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Edited by David Lynch , Iftekhar Hasan , Akhtar Siddique
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Hardcover. Condition: Brand New. 400 pages. 9.00x6.00x1.06 inches. In Stock. This item is printed on demand. Seller Inventory # __1108497357

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Lynch, David (EDT); Hasan, Iftekhar (EDT); Siddique, Akhtar (EDT)
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David Lynch
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Hardback. Condition: New. This item is printed on demand. New copy - Usually dispatched within 5-9 working days 890. Seller Inventory # C9781108497350

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Lynch, David
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hardcover. Condition: New. Special order direct from the distributor. Seller Inventory # ING9781108497350

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Lynch, David (EDT); Hasan, Iftekhar (EDT); Siddique, Akhtar (EDT)
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Published by Cambridge University Press, 2023
ISBN 10: 1108497357 ISBN 13: 9781108497350
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Gebunden. Condition: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Inhaltsverzeichnis1. Common elements in validation of risk models used in financial institutions Iftekhar Hasan, David Lynch and Akhtar Siddique 2. Validating bank holding companies value at risk models for market risk David Lynch 3. A. Seller Inventory # 650820095

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