A Generalized Error Distribution-BasedMethod for Conditional Value-at-Risk Evaluation
Book chapter
Cerqueti, R., Giacalone, M. and Panarello, D. (2018). A Generalized Error Distribution-BasedMethod for Conditional Value-at-Risk Evaluation. in: Corazza, M, Durban, M, Grane, A, Perna, C and Sibillo, M (ed.) Mathematical and StatisticalMethods for Actuarial Sciences and Finance, Springer. pp. 209-212
Authors | Cerqueti, R., Giacalone, M. and Panarello, D. |
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Editors | Corazza, M, Durban, M, Grane, A, Perna, C and Sibillo, M |
Abstract | One of the most important issues in finance is to correctly measure the risk profile of a portfolio, which is fundamental to take optimal decisions on the capital allocation. In this paper, we deal with the evaluation of portfolio’s Conditional |
Page range | 209-212 |
Year | 2018 |
Book title | Mathematical and StatisticalMethods for Actuarial Sciences and Finance, |
Publisher | Springer |
ISBN | 9783319898230 |
Publication dates | |
2018 | |
Online | 18 Jul 2018 |
Publication process dates | |
Accepted | 30 Jan 2018 |
Deposited | 09 Mar 2020 |
Digital Object Identifier (DOI) | https://doi.org/10.1007/978-3-319-89824-7_38 |
Web address (URL) | https://link.springer.com/chapter/10.1007%2F978-3-319-89824-7_38 |
Accepted author manuscript | License File Access Level Open |
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