Recent Applications of Financial Risk Modelling and Portfolio Management

Recent Applications of Financial Risk Modelling and Portfolio Management
Title Recent Applications of Financial Risk Modelling and Portfolio Management PDF eBook
Author Škrinjari?, Tihana
Publisher IGI Global
Pages 432
Release 2020-09-25
Genre Business & Economics
ISBN 1799850846

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In today’s financial market, portfolio and risk management are facing an array of challenges. This is due to increasing levels of knowledge and data that are being made available that have caused a multitude of different investment models to be explored and implemented. Professionals and researchers in this field are in need of up-to-date research that analyzes these contemporary models of practice and keeps pace with the advancements being made within financial risk modelling and portfolio control. Recent Applications of Financial Risk Modelling and Portfolio Management is a pivotal reference source that provides vital research on the use of modern data analysis as well as quantitative methods for developing successful portfolio and risk management techniques. While highlighting topics such as credit scoring, investment strategies, and budgeting, this publication explores diverse models for achieving investment goals as well as improving upon traditional financial modelling methods. This book is ideally designed for researchers, financial analysts, executives, practitioners, policymakers, academicians, and students seeking current research on contemporary risk management strategies in the financial sector.

Dealing with the Challenges of Macro Financial Linkages in Emerging Markets

Dealing with the Challenges of Macro Financial Linkages in Emerging Markets
Title Dealing with the Challenges of Macro Financial Linkages in Emerging Markets PDF eBook
Author Otaviano Canuto
Publisher World Bank Publications
Pages 307
Release 2013-10-29
Genre Business & Economics
ISBN 1464800030

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This book deals with the challenges of macro financial linkages in the emerging markets.

European Financial Linkages

European Financial Linkages
Title European Financial Linkages PDF eBook
Author International Monetary Fund
Publisher International Monetary Fund
Pages 62
Release 2010-12-01
Genre Business & Economics
ISBN 1455211761

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We document external investment positions among European Union countries at the start of the financial crisis through the creation of a new database comprising bilateral external financial asset and liabilities, excluding reserve assets and derivatives. While there are some gaps in the data, the overall coverage of reported bilateral net international investment positions (IIPs) appears satisfactory. The dataset provides a richer picture of financial linkages, enabling us to map the financing of Euro area imbalances. Creditor and debtor positions vis-à-vis the rest of the EU have tended to increase between 2000 and 2008, with capital flowing largely from wealthier to catching-up economies. This has in particular resulted in an increased interdependency among Euro Area economies.

The Transformation of the European Financial System

The Transformation of the European Financial System
Title The Transformation of the European Financial System PDF eBook
Author Vitor Gaspar
Publisher
Pages 334
Release 2003-01-01
Genre Banks and banking
ISBN 9789291813483

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CoMap: Mapping Contagion in the Euro Area Banking Sector

CoMap: Mapping Contagion in the Euro Area Banking Sector
Title CoMap: Mapping Contagion in the Euro Area Banking Sector PDF eBook
Author Mehmet Ziya Gorpe
Publisher International Monetary Fund
Pages 63
Release 2019-05-10
Genre Business & Economics
ISBN 1498312071

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This paper presents a novel approach to investigate and model the network of euro area banks’ large exposures within the global banking system. Drawing on a unique dataset, the paper documents the degree of interconnectedness and systemic risk of the euro area banking system based on bilateral linkages. We develop a Contagion Mapping model fully calibrated with bank-level data to study the contagion potential of an exogenous shock via credit and funding risks. We find that tipping points shifting the euro area banking system from a less vulnerable state to a highly vulnerable state are a non-linear function of the combination of network structures and bank-specific characteristics.

Economics of Sovereign Wealth Funds

Economics of Sovereign Wealth Funds
Title Economics of Sovereign Wealth Funds PDF eBook
Author Mr.Udaibir S. Das
Publisher International Monetary Fund
Pages 330
Release 2010-12-09
Genre Business & Economics
ISBN 1589069277

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The book covers a wide range of topics of relevance to policymakers in countries that have sovereign wealth funds (SWFs) and those that receive SWF investments. Renowned experts in the field have contributed chapters. The book is organized around four themes: (1) the role and macrofinancial linkages of SWFs, (2) institutional factors, (3) investment approaches and financial markets, and (4) the postcrisis outlook. The book also discusses the challenges facing sovereign wealth funds in the coming years, from an inside perspective on countries, including Canada, Chile, China, Norway, Russia, and New Zealand. Economics of Sovereign Wealth Funds will contribute to a further understanding of the nature, strategies and behavior of SWFs and the environment in which they operate, as their importance is likely to grow in the coming years.

A Banking Union for the Euro Area

A Banking Union for the Euro Area
Title A Banking Union for the Euro Area PDF eBook
Author Rishi Goyal
Publisher International Monetary Fund
Pages 31
Release 2013-02-12
Genre Business & Economics
ISBN 1475569823

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The SDN elaborates the case for, and the design of, a banking union for the euro area. It discusses the benefits and costs of a banking union, presents a steady state view of the banking union, elaborates difficult transition issues, and briefly discusses broader EU issues. As such, it assesses current plans and provides advice. It is accompanied by three background technical notes that analyze in depth the various elements of the banking union: a single supervisory framework; a single resolution and common safety net; and urgent issues related to repair of weak banks in Europe.