The Present, Future and Imperfect of Financial Risk Management
Year of publication: |
2003-09
|
---|---|
Authors: | Alexandra, Carol |
Institutions: | Henley Business School, University of Reading |
Subject: | Financial risk assessment | risk control | RAROC | economic capital | regulatory capital | optimal allocation of resources |
Extent: | application/pdf |
---|---|
Series: | |
Type of publication: | Book / Working Paper |
Language: | English |
Notes: | Published in Journal of Financial Econometrics 2005, 3:1, 3-25 Number icma-dp2003-12 25 pages |
Classification: | C11 - Bayesian Analysis ; C13 - Estimation ; G20 - Financial Institutions and Services. General |
Source: |
-
The Present and Future of Financial Risk Management
Alexander, Carol, (2004)
-
Managing performance using a dual measure framework
Ozdemir, Bogie, (2014)
-
Economic capital and RAROC in a dynamic model
Bauer, Daniel, (2021)
- More ...
-
Asymmetries and Volatility Regimes in the European Equity Markets
Alexandra, Carol, (2005)
-
An Uncertain Volatility Explanation for Delayed Calls of Convertible Bonds
Yigibasioglu, Ali Bora, (2004)
-
The Cointegration Alpha: Enchanced Index Tracking and Long-Short Equity Market Neutral Stragies
Alexandra, Carol, (2002)
- More ...