Complexity analysis and risk management in finance

dc.contributor.authorMertzanis, Charilaos
dc.date.accessioned2022-08-01T09:23:09Z
dc.date.accessioned2023-08-19T07:32:15Z
dc.date.available2022-08-01T09:23:09Z
dc.date.available2023-08-19T07:32:15Z
dc.date.issued2014-10
dc.description.abstractStandard financial risk management practices proved unable to provide an adequate understanding and a timely warning of the financial crisis. In particular, the theoretical foundations of risk management and the statistical calibration of risk models are called into question. Policy makers and practitioners respond by looking for new analytical approaches and tools to identify and address new sources of financial risk. Financial markets satisfy reasonable criteria of being considered complex adaptive systems, characterized by complex financial instruments and complex interactions among market actors. Policy makers and practitioners need to take both a micro and macro view of financial risk, identify proper transparency requirements on complex instruments, develop dynamic models of information generation that best approximate observed financial outcomes, and identify and address the causes and consequences of systemic risk. Complexity analysis can make a useful contribution. However, the methodological suitability of complexity theory for financial systems and by extension for risk management is still debatable. Alternative models drawn from the natural sciences and evolutionary theory are proposed.en_US
dc.identifier.citationMertzanis, C. (2014). Complexity analysis and risk management in finance. In Risk Management Post Financial Crisis: A Period of Monetary Easing. Emerald Group Publishing Limited.en_US
dc.identifier.doihttps://doi.org/10.1108/S1569-375920140000096001
dc.identifier.urihttps://edms.wexl.in/handle/1/4015
dc.language.isoenen_US
dc.publisherEmerald Group Publishing Limiteden_US
dc.subjectRisk managementen_US
dc.subjectComplex financial instrumentsen_US
dc.subjectFinanceen_US
dc.titleComplexity analysis and risk management in financeen_US
dc.title.alternativejournal Articalen_US
dc.typeArticleen_US

Files

License bundle

Now showing 1 - 1 of 1
Loading...
Thumbnail Image
Name:
license.txt
Size:
1.71 KB
Format:
Plain Text
Description:

Collections