A framework to manage the measurable, immeasurable and the unidentifiable financial risk
Traditionally, financial risk management has mainly focused on the types of risk that can be identified and measured. Many actuarial and statistical theories and models have been developed in the past, to quantify such risks. However, high-profile events such as Black Monday, the Asian financial cri...
| Main Authors: | Ganegoda, A., Evans, John |
|---|---|
| Format: | Journal Article |
| Published: |
Sage Publications
2014
|
| Online Access: | http://hdl.handle.net/20.500.11937/62199 |
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