دانلود رایگان مقاله انگلیسی مدل تحلیلی برای مدلسازی مالی و مدیریت ریسک - اشپرینگر 2018

عنوان فارسی
مدل تحلیلی برای مدلسازی مالی و مدیریت ریسک
عنوان انگلیسی
Preface: analytical models for financial modeling and risk management
صفحات مقاله فارسی
2018
صفحات مقاله انگلیسی
4
سال انتشار
2018
نشریه
اشپرینگر - Springer
فرمت مقاله انگلیسی
PDF
کد محصول
E8445
رشته های مرتبط با این مقاله
مدیریت
گرایش های مرتبط با این مقاله
مدیریت مالی، بانکداری
مجله
سالنامه تحقیقات عملیاتی - Annals of Operations Research
دانشگاه
Financial Engineering Laboratory - Technical University of Crete - University Campus - Greece
بخشی از متن مقاله

Banks, financial institutions, and companies have developed financial modeling worldwide, and risk management techniques and processes have been adopted by businesses to implement risk-based policies and practices. Financial modeling and risk management are of great interest since they combine the principles of fundamental science and real-world applications.


The level of sophistication of financial modeling tools, techniques, and approaches has increased considerably over the past couple of decades, driven by the experiences gained from responding to turmoil and crises, the strengthening of regulatory requirements, the adoption of new technological advances, and the introduction of new financial products and instruments. Analytical techniques are of paramount importance in financial modeling and decision-making. Operations research/management science and other related analytical disciplines are highly relevant to this area, providing the means for normative, descriptive, prescriptive, and predictive modeling.


This special volume, was prepared on the occasion of the 6th International Conference of the Financial Engineering and Banking Society, which was held in Malaga, Spain, during 10–12 June 2016. It explores recent advances in the use of analytical models in all areas of financial modeling and risk management, covering both new theoretical developments and new empirical results.


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