Market risk in transition countries - Value at Risk Approach

Market risk in transition countries - Value at Risk Approach - Paperback

$47.80
Skip to product information
Market risk in transition countries - Value at Risk Approach

Market risk in transition countries - Value at Risk Approach - Paperback

$47.80
Shipping calculated at checkout.
Details

by Sasa Zikovic (Author)

When using Value at Risk (VaR) models, created and suited for developed and liquid markets, in developing transition markets practitioners and researchers are often troubled with the same questions: Do the VaR model, developed and tested in the developed and liquid financial markets apply to the volatile and shallow financial markets of transition countries? Do the commonly used VaR models adequately capture the market risk of these markets or do they only give a false sense of security? This book gives the answers to such questions and represents the first systematic study of risk management issues in transition markets. It gives an unique empirical analysis of all European transition markets, and presents a new method for calculating VaR in volatile transition markets taking into account the main characteristics of these markets (abrupt changes in the volatility regimes, autoregression, heteroskedasticity, asymmetry and fat tails).

Number of Pages: 396
Dimensions: 0.81 x 9.69 x 7.44 IN
Publication Date: September 22, 2010

Materials + Care

We prioritize quality in selecting the materials for our items, choosing premium fabrics and finishings that ensure durability, comfort, and timeless appeal.

Shipping + Returns

We strive to process and ship all orders in a timely manner, working diligently to ensure that your items are on their way to you as soon as possible.

You might also like...