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Financial Risk Measurement and Management 2012 Edition at Meripustak

Financial Risk Measurement and Management 2012 Edition by Francis X. Diebold , Edward Elgar Publishing Ltd

Books from same Author: Francis X. Diebold

Books from same Publisher: Edward Elgar Publishing Ltd

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General Information  
Author(s)Francis X. Diebold
PublisherEdward Elgar Publishing Ltd
ISBN9781849803908
Pages1044
BindingHardback
LanguageEnglish
Publish YearOctober 2012

Description

Edward Elgar Publishing Ltd Financial Risk Measurement and Management 2012 Edition by Francis X. Diebold

This authoritative volume charts the origins, development, and current frontiers of financial risk management. It emphasizes the role for risk management created by real-world market imperfections, and progresses to consider stochastic financial modeling, the failure of 'normality', and time-varying volatility. Professor Diebold has selected seminal papers by leading academics which cover multiple markets (equities, bonds, etc.), univariate and multivariate perspectives, connectedness and systemic risks, and stress testing. The collection, along with an original introduction by the editor, will be of interest to academics, market participants, and policy-makers, particularly as we chart a new course following the financial crisis of 2007-2008.



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