Last But Not Least. Can We Avoid the Next Big Systemic Financial Crisis?
Radu Tunaru
Chapter 14 in Model Risk in Financial Markets:From Financial Engineering to Risk Management, 2015, pp 321-327 from World Scientific Publishing Co. Pte. Ltd.
Abstract:
The following sections are included:Yes, We CanNo, We CannotA Non-technical Template for Model Risk ControlIdentify the type of model risk that may appearA guide for senior managersThere is Still Work to Do
Keywords: Model Risk; Risk Management; Financial Engineering; Financial Markets (search for similar items in EconPapers)
Date: 2015
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