Granularity Theory with Applications to Finance and Insurance

Available
0
StarStarStarStarStar
0Reviews
The recent financial crisis has heightened the need for appropriate methodologies for managing and monitoring complex risks in financial markets. The measurement, management, and regulation of risks in portfolios composed of credits, credit derivatives, or life insurance contracts is difficult because of the nonlinearities of risk models, dependencies between individual risks, and the several thou...
Read more
The recent financial crisis has heightened the need for appropriate methodologies for managing and monitoring complex risks in financial markets. The measurement, management, and regulation of risks in portfolios composed of credits, credit derivatives, or life insurance contracts is difficult because of the nonlinearities of risk models, dependencies between individual risks, and the several thou...
Read more
Follow the Author

Options

  • Formats: epub
  • ISBN: 9781316054765
  • Publication Date: 6 Oct 2014
  • Publisher: Cambridge University Press
  • Product language: English
  • Drm Setting: DRM