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Model Risk in Financial Markets

Model Risk in Financial Markets

Hardcover

Investing & Finance

ISBN10: 9814663409
ISBN13: 9789814663403
Publisher: World Scientific Publishing Company
Published: Jun 19 2015
Pages: 384
Weight: 1.41
Height: 1.00 Width: 6.10 Depth: 9.10
Language: English

The financial systems in most developed countries today build up a large amount of model risk on a daily basis. However, this is not particularly visible as the financial risk management agenda is still dominated by the subprime-liquidity crisis, the sovereign crises, and other major political events. Losses caused by model risk are hard to identify and even when they are internally identified, as such, they are most likely to be classified as normal losses due to market evolution.

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