Scenario Analysis In Risk Management: Theory And Practice In Finance

June 23, 2018|
Scenario Analysis In Risk Management: Theory And Practice In Finance by Bertrand K. Hassani
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This book focuses on identifying and explaining the key determinants of scenario analysis in the context of operational risk, stress testing and systemic risk, as well as management and planning. Each chapter presents alternative solutions to perform reliable scenario analysis. The author also provides technical notes and describes applications and key characteristics for each of the solutions. In addition, the book includes a section to help practitioners interpret the results and adjust them to real-life management activities. Methodologies, including those derived from consensus strategies, extreme value theory, Bayesian networks, Neural networks, Fault Trees, frequentist statistics and data mining are introduced in such a way as to make them understandable to readers without a quantitative background. Particular emphasis is given to the added value of the implementation of these methodologies. 

Dr. Bertrand Hassani  is Global Head of Research and Innovation - Risk Methodology, Grupo Santander, and Associate Researcher Université Paris 1 Panthéon Sorbonne
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Title:Scenario Analysis In Risk Management: Theory And Practice In Finance
Format:Paperback
Product dimensions:162 pages, 9.25 X 6.1 X 0 in
Shipping dimensions:162 pages, 9.25 X 6.1 X 0 in
Published:June 23, 2018
Publisher:Springer Nature
Language:English
Appropriate for ages:All ages
ISBN - 13:9783319797274

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