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More on Risk Management
ABSTRACT In this paper, we show how to handle the problem of trend detection, in the context of financial strategies, when the data is potentially erroneous. We focus on the case of a filtering method...
Report calls on regulators to fix “structural and regulatory limitations” around collateral
ABSTRACT We propose a new numerical approach to solving high-dimensional partial differential equations (PDEs) that arise in the valuation of exotic derivative securities. The proposed method is extended...
ABSTRACT The aim of this paper is to present the set-up of a behavioral credit-scoring model and estimate such a model using an auto loan data set of one of the largest multinational financial institutions...
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