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"Risk management as a discipline is evolving, evolving to deal with fat tails, evolving to deal with macro-economic drivers and basic forms of nonlinearity. And yet, financial risk management remains limited to the confines of quantification, forced to use the crutch of mathematical models. The...
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Credit risk is defined as the risk that borrowers will fail to pay its loan obligations. In recent years, a large number of banks have developed sophisticated systems and models to help bankers in quantifying, aggregating and managing risk. The outputs of these models also play increasingly...
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"Examines the multidisciplinary applications, problems, and case histories in risk modeling, assessment, and management This book examines risk analysis, focusing on quantifying risk and constructing probability in conjunction with real-world decision-making problems, including institutional,...
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