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Future Perspectives in Risk Models and Finance

Future Perspectives in Risk Models and Finance

Hardcover

Series: International Operations Research & Management Science, Book 211

Business GeneralInvesting & FinanceGeneral Mathematics

ISBN10: 3319075233
ISBN13: 9783319075235
Publisher: Springer Nature
Published: Dec 3 2014
Pages: 315
Weight: 1.41
Height: 0.75 Width: 6.14 Depth: 9.21
Language: English

This book provides a perspective on a number of approaches to financial modelling and risk management. It examines both theoretical and practical issues. Theoretically, financial risks models are models of a real and a financial uncertainty, based on both common and private information and economic theories defining the rules that financial markets comply to. Financial models are thus challenged by their definitions and by a changing financial system fueled by globalization, technology growth, complexity, regulation and the many factors that contribute to rendering financial processes to be continuously questioned and re-assessed. The underlying mathematical foundations of financial risks models provide future guidelines for risk modeling. The book's chapters provide selective insights and developments that can contribute to better understand the complexity of financial modelling and its ability to bridge financial theories and their practice.

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