Coherent Stress Testing
eBook - ePub

Coherent Stress Testing

A Bayesian Approach to the Analysis of Financial Stress

  1. English
  2. ePUB (mobile friendly)
  3. Available on iOS & Android
eBook - ePub

Coherent Stress Testing

A Bayesian Approach to the Analysis of Financial Stress

About this book

In Coherent Stress Testing: A Bayesian Approach, industry expert Riccardo Rebonato presents a groundbreaking new approach to this important but often undervalued part of the risk management toolkit.

Based on the author's extensive work, research and presentations in the area, the book fills a gap in quantitative risk management by introducing a new and very intuitively appealing approach to stress testing based on expert judgement and Bayesian networks. It constitutes a radical departure from the traditional statistical methodologies based on Economic Capital or Extreme-Value-Theory approaches.

The book is split into four parts. Part I looks at stress testing and at its role in modern risk management. It discusses the distinctions between risk and uncertainty, the different types of probability that are used in risk management today and for which tasks they are best used. Stress testing is positioned as a bridge between the statistical areas where VaR can be effective and the domain of total Keynesian uncertainty. Part II lays down the quantitative foundations for the concepts described in the rest of the book. Part III takes readers through the application of the tools discussed in part II, and introduces two different systematic approaches to obtaining a coherent stress testing output that can satisfy the needs of industry users and regulators. In part IV the author addresses more practical questions such as embedding the suggestions of the book into a viable governance structure.

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Yes, you can access Coherent Stress Testing by Riccardo Rebonato in PDF and/or ePUB format, as well as other popular books in Business & Finance. We have over one million books available in our catalogue for you to explore.

Information

Publisher
Wiley
Year
2010
Print ISBN
9780470666012
eBook ISBN
9780470971482
Edition
1
Subtopic
Finance

Table of contents

  1. Title Page
  2. Copyright Page
  3. Dedication
  4. Acknowledgements
  5. Chapter 1 - Introduction
  6. Part I - Data, Models and Reality
  7. Part II - The Probabilistic Tools and Concepts
  8. Part III - Applications
  9. Part IV - Making It Work In Practice
  10. Appendix - A Simple Introduction to Linear Programming
  11. References
  12. Index