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The Handbook of Post Crisis Financial Modelling (Hardcover, 1st ed. 2015): Emmanuel Haven, Philip Molyneux, John Wilson, Sergei... The Handbook of Post Crisis Financial Modelling (Hardcover, 1st ed. 2015)
Emmanuel Haven, Philip Molyneux, John Wilson, Sergei Fedotov, Meryem Duygun
R2,803 Discovery Miles 28 030 Ships in 10 - 15 working days

The 2008 financial crisis was a watershed moment which clearly influenced the public's perception of the role of 'finance' in society. Since 2008, a plethora of books and newspaper articles have been produced accusing the academic community of being unable to produce valid models which can accommodate those extreme events. This unique Handbook brings together leading practitioners and academics in the areas of banking, mathematics, and law to present original research on the key issues affecting financial modelling since the 2008 financial crisis. As well as exploring themes of distributional assumptions and efficiency the Handbook also explores how financial modelling can possibly be re-interpreted in light of the 2008 crisis.

Financial Services - Efficiency & Risk Management (Hardcover, New): Meryem Duygun Fethi, Chrysovalantis Gaganis, Fotios... Financial Services - Efficiency & Risk Management (Hardcover, New)
Meryem Duygun Fethi, Chrysovalantis Gaganis, Fotios Pasiouras, Constantin Zopounidis
R3,858 Discovery Miles 38 580 Ships in 12 - 17 working days

Over the last decade or so, firms in the financial services industry witnessed fundamental changes in their operating environment, such as deregulation, internationalisation, technological innovations, mergers and acquisitions, and more recently a global financial crisis. This book discusses various issues that relate to those changes, while placing particular emphasis on aspects of efficiency and risk management. Topics that are discussed in the book include among others, mergers and acquisitions, liquidity in the interbank market, the evaluation of bank performance with multi-criteria decision aid and frontier techniques, value-at-risk modelling, central clearing counter-parties, mutual funds, and derivatives and earnings management.

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