Lessons From Model Risk Management in Financial Institutions for Academic Research
Fuente:
arXiv
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| Autori principali: | , |
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| Natura: | Preprint |
| Pubblicazione: |
2024
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| Soggetti: | |
| Accesso online: | |
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| _version_ | 1866909228777603072 |
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| author | Alaghmandan, Mahmood Streltchenko, Olga |
| author_facet | Alaghmandan, Mahmood Streltchenko, Olga |
| contents | In this paper, we discuss aspects of model risk management in financial institutions which could be adopted by academic institutions to improve the process of conducting academic research, identify and mitigate existing limitations, decrease the possibility of erroneous results, and prevent fraudulent activities. |
| format | Preprint |
| id |
arxiv_https___arxiv_org_abs_2406_14776 |
| institution | arXiv |
| publishDate | 2024 |
| record_format | arxiv |
| spellingShingle | Lessons From Model Risk Management in Financial Institutions for Academic Research Alaghmandan, Mahmood Streltchenko, Olga Risk Management In this paper, we discuss aspects of model risk management in financial institutions which could be adopted by academic institutions to improve the process of conducting academic research, identify and mitigate existing limitations, decrease the possibility of erroneous results, and prevent fraudulent activities. |
| title | Lessons From Model Risk Management in Financial Institutions for Academic Research |
| topic | Risk Management |
| url | https://arxiv.org/abs/2406.14776 |