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Tidsskrift
Bog, 2019
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Preface vii About the Author ix 1 Overview of Financial Risk Management 1 2 Market Risk: Standard Deviation 15 3 Market Risk: Value at Risk 51 4 Market Risk: Expected Shortfall, and Extreme ValueTheory 73 5 Market Risk: Portfolios and Correlation 91 6 Market Risk: Beyond Correlation 119 7 Market Risk: Risk Attribution 151 8 CreditRisk 167 9 Liquidity Risk 189 10 Bayesian Analysis 205 11 Behavioral Economics and Risk 231 Appendix A Maximum Likelihood Estimation 247 Appendix B Copulas 253 Answers to End-of-Chapter Questions 257 References 295 Index 297
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