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Extreme Events in Finance - A Handbook of Extreme Value Theory and its Applications

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Carte Copertă tare
Carte Extreme Events in Finance - A Handbook of Extreme Value Theory and its Applications Francois Longin
Codul Libristo: 10045602
Editura John Wiley & Sons Inc, noiembrie 2016
A guide to the growing importance of extreme value risk theory, methods, and applications in the fin... Descrierea completă
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A guide to the growing importance of extreme value risk theory, methods, and applications in the financial sector§§Presenting a uniquely accessible guide, Extreme Events in Finance: A Handbook of Extreme Value Theory and Its Applications features a combination of the theory, methods, and applications of extreme value theory (EVT) in finance and a practical understanding of market behavior including both ordinary and extraordinary conditions.§§Beginning with a fascinating history of EVTs and financial modeling, the handbook introduces the historical implications that resulted in the applications and then clearly examines the fundamental results of EVT in finance. After dealing with these theoretical results, the handbook focuses on the EVT methods critical for data analysis. Finally, the handbook features the practical applications and techniques and how these can be implemented in financial markets. Extreme Events in Finance: A Handbook of Extreme Value Theory and Its Applications includes:§§Over 40 contributions from international experts in the areas of finance, statistics, economics, business, insurance, and risk management§§Topical discussions on univariate and multivariate case extremes as well as regulation in financial markets§§Extensive references in order to provide readers with resources for further study§§Discussions on using R packages to compute the value of risk and related quantities§§The book is a valuable reference for practitioners in financial markets such as financial institutions, investment funds, and corporate treasuries, financial engineers, quantitative analysts, regulators, risk managers, large-scale consultancy groups, and insurers. Extreme Events in Finance: A Handbook of Extreme Value Theory and Its Applications is also a useful textbook for postgraduate courses on the methodology of EVTs in finance.§§François Longin, PhD, is Professor in the Department of Finance at ESSEC Business School, France. He has been working on the applications of extreme value theory to financial markets for many years, and his research has been applied by financial institutions in the risk management area including market, credit, and operational risks. His research works can be found in scientific journals such as The Journal of Finance. Dr. Longin is currently a financial consultant with expertise covering risk management for financial institutions and portfolio management for asset management firms.

Informații despre carte

Titlu complet Extreme Events in Finance - A Handbook of Extreme Value Theory and its Applications
Limba engleză
Legare Carte - Copertă tare
Data publicării 2016
Număr pagini 640
EAN 9781118650196
ISBN 9781118650196
Codul Libristo 10045602
Greutatea 1010
Dimensiuni 242 x 167 x 37
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