Report NEP-RMG-2015-04-19
This is the archive for NEP-RMG, a report on new working papers in the area of Risk Management. Stan Miles issued this report. It is usually issued weekly.Subscribe to this report: email, RSS, or Mastodon, or Bluesky.
Other reports in NEP-RMG
The following items were announced in this report:
- Mauro Bernardi & Leopoldo Catania, 2015. "Switching-GAS Copula Models With Application to Systemic Risk," Papers 1504.03733, arXiv.org, revised Jan 2016.
- Alfredo Calderon Vela & Gabriel Rodríguez, 2014. "Extreme Value Theory: An Application to the Peruvian Stock Market Returns," Documentos de Trabajo / Working Papers 2014-394, Departamento de Economía - Pontificia Universidad Católica del Perú.
- Tobias Adrian, 2015. "Discussion of “Systemic Risk and the Solvency-Liquidity Nexus of Banks”," Staff Reports 722, Federal Reserve Bank of New York.
- Marco Bianchetti & Sergei Kucherenko & Stefano Scoleri, 2015. "Pricing and Risk Management with High-Dimensional Quasi Monte Carlo and Global Sensitivity Analysis," Papers 1504.02896, arXiv.org.
- W. Scott Frame & Kristopher Gerardi & Paul S. Willen, 2015. "The failure of supervisory stress testing: Fannie Mae, Freddie Mac, and OFHEO," FRB Atlanta Working Paper 2015-3, Federal Reserve Bank of Atlanta.
- Paech, Philipp, 2015. "The value of insolvency safe harbours," LSE Research Online Documents on Economics 61591, London School of Economics and Political Science, LSE Library.
- Garbuzova-Schlifter, Maria & Madlener, Reinhard, 2014. "Risk Analysis of Energy Performance Contracting Projects in Russia: An Analytic Hierarchy Process Approach," FCN Working Papers 10/2014, E.ON Energy Research Center, Future Energy Consumer Needs and Behavior (FCN).
- Qianqian Cao & Shimeng Liu, 2015. "The Impact of State Foreclosure and Bankruptcy Laws on Higher-Risk Lending: Evidence from FHA and Subprime Mortgage Originations," Working Paper 9411, USC Lusk Center for Real Estate.
- Fabio Antonelli & Alessandro Ramponi & Sergio Scarlatti, 2015. "Random Time Forward Starting Options," Papers 1504.03552, arXiv.org.
- Ivleva, Galina (Ивлева, Галина) & Borovikova, Elena (Боровикова, Елена) & Melnikov, Roman (Мельников, Роман), 2015. "Implementation of Risk-Based State-Government Regulation in the Russian Conditions [Осуществление Риск-Ориентированного Государственного Регулирования В Российских Условиях]," Published Papers mak3, Russian Presidential Academy of National Economy and Public Administration.
- Ozili, PK, 2015. "How Bank Managers Anticipate Non-Performing Loans. Evidence from Europe, US, Asia and Africa," MPRA Paper 63681, University Library of Munich, Germany.
- Nijman, Theo E & Bovenberg, Lans, 2015. "Personal Pensions with Risk sharing: Affordable, Adequate and Stable Private Pensions in Europe," CEPR Discussion Papers 10538, C.E.P.R. Discussion Papers.