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IUP Journal of Financial Risk Management
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ISSN: 0972916X

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Book
Handbook of financial stress testing
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ISBN: 1108903010 1108830730 1108906079 Year: 2022 Publisher: Cambridge : Cambridge University Press,

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Stress tests are the most innovative regulatory tool to prevent and fight financial crises. Their use has fundamentally changed the modeling of financial systems, financial risk management in the public and private sector, and the policies designed to prevent and mitigate financial crises. When financial crises hit, stress tests take center stage. Despite their centrality to public policy, the optimal design and use of stress tests remains highly contested. Written by an international team of leading thinkers from academia, the public sector, and the private sector, this handbook comprehensively surveys and evaluates the state of play and charts the innovations that will determine the path ahead. It is a comprehensive and interdisciplinary resource that bridges theory and practice and places financial stress testing in its wider context. This guide is essential reading for researchers, practitioners, and policymakers working on financial risk management and financial regulation.


Book
Risk matrix : rating scheme design and risk aggregation
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ISBN: 9811914796 981191480X Year: 2022 Publisher: Gateway East, Singapore : Springer,

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Understanding financial risk tolerance : institutional, behavioral and normative dimensions
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ISBN: 3031131304 3031131312 Year: 2022 Publisher: Cham, Switzerland : Palgrave Macmillan,

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Integrity, risk and accountability in capital markets : regulating culture
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ISBN: 9781849465670 Year: 2013 Publisher: Oxford : Hart Publishing,

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Book
Managing extreme financial risk
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ISBN: 0124172229 0124172210 1299875017 9780124172227 9780124172210 9780124172210 Year: 2014 Publisher: Oxford

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Managing Extreme Financial Risk addresses the need for better management strategies in light of increased market risk and volatility in financial institutions' revenue models. Top officials from the financial and regulatory industries point to real corporate issues, showing how institutions react to financial crises. From first-hand experiences, they explain how effective sustainability management does not just prevent being blindsided; it also leads to proactive solutions that enhance an institution's strength to weather a sudden financial crisis, add significant shareholder value,


Periodical
Risks
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ISSN: 22279091

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Book
Alternative data and artificial intelligence techniques : applications in investment and risk management
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ISBN: 3031116119 3031116127 Year: 2022 Publisher: Cham, Switzerland : Palgrave Macmillan,

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Book
Elements of financial risk management
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ISBN: 1283347695 9786613347695 0080922430 0123744482 0128102357 9780123744487 9780080922430 Year: 2012 Publisher: Amsterdam ; Boston : Academic Press,

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The Second Edition of this best-selling book expands its advanced approach to financial risk models by covering market, credit, and integrated risk. With new data that cover the recent financial crisis, it combines Excel-based empirical exercises at the end of each chapter with online exercises so readers can use their own data. Its unified GARCH modeling approach, empirically sophisticated and relevant yet easy to implement, sets this book apart from others. Five new chapters and updated end-of-chapter questions and exercises, as well as Excel-solutions manual, support its step-by-step app


Periodical
The journal of risk model validation.
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ISSN: 17539587 17539579 Year: 2007 Publisher: London : London : Incisive Risk Information Limited Infopro Digital

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