Hands-On Value-at-Risk and Expected Shortfall : A Practical Primer

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Author:Auer, Martin
Date of Publication: 2019
Book classification:Business & ManagementEnglish Books,
No. of pages:188 Pages
Format:Paperback

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About this Product

This book describes a maximally simple market risk model that is still practical and main risk measures like the value-at-risk and the expected shortfall. It outlines the models (i) underlying math, (ii) daily operation, and (iii) implementation, while stripping away statistical overhead to keep the concepts accessible. The author selects and weighs the various model features, motivating the choices under real-world constraints, and addresses the evermore important handling of regulatory requirements. The book targets not only practitioners new to the field but also experienced market risk operators by suggesting useful data analysis procedures and implementation details. It furthermore addresses market risk consumers such as managers, traders, and compliance officers by making the model behavior intuitively transparent.


A very useful guide to the theoretical and practical aspects of implementing and operating a risk-monitoring system for a mid-size financial institution. It sets a common body of knowledge to facilitate communication between risk managers, computer and investment specialists by bridging their diverse backgrounds.

Giovanni Barone-Adesi - Professor, Universitل della Svizzera italiana

This unassuming and insightful book starts from the basics and plainly brings the reader up to speed on both theory and implementation.

Shane Hegarty - Director Trade Floor Risk Management, Scotiabank

Visit the books website at www.value-at-risk.com.

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Specifications

SKU9783319891705
Manufacturer Number9783319891705
year published2019
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