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The Risk of Investment Products:From Product Innovation to Risk Compliance

Edited by Michael CS Wong

in World Scientific Books from World Scientific Publishing Co. Pte. Ltd.

Abstract: In the aftermath of the financial crisis of 2008, many financial institutions have been exploring new methods to measure investment product risk. Lawmakers have been developing new rules that protect investors better than before. The purpose is to mitigate the risk of financial institutions that distribute investment products to their clients. This book presents professional views on investment product risk and analyzes complex investment product risk from various perspectives. Contributed by lawyers, risk managers, IT engineers and scholars, this book is an essential-read for financial regulators, bankers, investment advisors, financial engineers, risk managers, students and researchers.

Keywords: Risk Management; Financial Regulation; Financial Law; Asset Securitization; Complex Investment Products; Investment Advisory (search for similar items in EconPapers)
Date: 2011
ISBN: 9789814354981
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Downloads: (external link)
https://www.worldscientific.com/worldscibooks/10.1142/8170 (text/html)
Ebook Access is available upon purchase

Chapters in this book:

Ch 1 BANK RISK MANAGEMENT IN EMERGING MARKETS AFTER THE ENHANCED BASEL RULES , pp 1-16 Downloads
Hasan Candan and Alper Özün
Ch 2 PRODUCT VaR MODELLING , pp 17-39 Downloads
Rituparna Das
Ch 3 IS IT ALL ABOUT DISCLOSURE? REGULATING STRUCTURED FINANCIAL PRODUCTS AFTER THE LEHMAN BROTHERS MINIBONDS SAGA , pp 41-78 Downloads
Wei Shen
Ch 4 REGULATION OF OVER-THE-COUNTER DERIVATIVES IN AUSTRALIA , pp 79-100 Downloads
Paul Latimer
Ch 5 CREDIT DERIVATIVES: UNDERSTANDING THEIR CHARACTERISTICS AND RISK POTENTIAL , pp 101-125 Downloads
P. M. Vasudev
Ch 6 A NEW FRAMEWORK FOR ASSET-BACKED SECURITIES (ABSs) , pp 127-159 Downloads
Mingyuan Zhang and Clark Abrahams
Ch 7 RISK MANAGEMENT OF COLLATERALIZED DEBT OBLIGATIONS , pp 161-177 Downloads
Shwn Meei Lee
Ch 8 FINANCIAL LEVERAGE RISK: NEW DEFINITION AND EMPIRICAL ILLUSTRATION , pp 179-203 Downloads
Tomasz S. Berent
Ch 9 ENABLING TECHNOLOGY FOR MORE PERVASIVE AND RESPONSIVE MARKET RISK MANAGEMENT SYSTEMS , pp 205-224 Downloads
Matthew Dixon, Jike Chong and Kurt Keutzer
Ch 10 A NEW METHOD OF STRESS TESTING INVESTMENT PRODUCTS , pp 225-240 Downloads
Maria Beitz and Matthias Ehrhardt

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