Книга The Analytics of Risk Model Validation The Analytics of Risk Model ValidationКниги Экономика Автор: George A. Christodoulakis, Stephen Satchell Год издания: 2007 Формат: pdf Издат.:Academic Press Страниц: 216 Размер: 1,9 ISBN: 0750681586 Язык: Английский0 (голосов: 0) Оценка:Risk model validat
The Validation of Risk Models: A Handbook for Practitioners
✍ Scribed by Sergio Scandizzo (auth.)
- Publisher
- Palgrave Macmillan UK
- Year
- 2016
- Tongue
- English
- Leaves
- 242
- Series
- Applied Quantitative Finance series
- Edition
- 1
- Category
- Library
No coin nor oath required. For personal study only.
✦ Synopsis
The practice of quantitative risk management has reached unprecedented levels of refinement. The pricing, the assessment of risk as well as the computation of the capital requirements for highly complex transactions are performed through equally complex mathematical models, running on advanced computer systems, developed and operated by dedicated, highly qualified specialists. With this sophistication, however, come risks that are unpredictable, globally challenging and difficult to manage. Model risk is a prime example and precisely the kind of risk that those tasked with managing financial institutions as well as those overseeing the soundness and stability of the financial system should worry about.
This book starts with setting the problem of the validation of risk models within the context of banking governance and proposes a comprehensive methodological framework for the assessment of models against compliance, qualitative and quantitative benchmarks. It provides a comprehensive guide to the tools and techniques required for the qualitative and quantitative validation of the key categories of risk models, and introduces a practical methodology for the measurement of the resulting model risk and its translation into prudent adjustments to capital requirements and other estimates.
✦ Table of Contents
Front Matter....Pages i-viii
Introduction: A Model Risk Primer....Pages 1-13
Front Matter....Pages 15-15
Validation, Governance and Supervision....Pages 17-27
A Validation Framework for Risk Models....Pages 28-48
Front Matter....Pages 49-49
Credit Risk Models....Pages 51-58
Probability of Default Models....Pages 59-77
Loss Given Default Models....Pages 78-92
Exposure at Default Models....Pages 93-105
Front Matter....Pages 107-107
Value at Risk Models....Pages 109-126
Interest Rate Risk on the Banking Book....Pages 127-135
Front Matter....Pages 137-137
Counterparty Credit Risk Models....Pages 139-152
Front Matter....Pages 153-153
The Validation of AMA Models....Pages 155-179
Model Implementation and Use Test in Operational Risk....Pages 180-190
Front Matter....Pages 191-191
Economic Capital Models....Pages 193-204
Stress Testing Models....Pages 205-215
Conclusion: A Model for Measuring Model Risk....Pages 216-234
Back Matter....Pages 235-242
✦ Subjects
Risk Management; Banking; Corporate Finance; Investments and Securities; Business Finance
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