Handbook of Financial Stress Testing
Handbook of Financial Stress Testing
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- More about Handbook of Financial Stress Testing
Stress tests are an innovative regulatory tool to prevent and fight financial crises, but their optimal design and use are highly contested. This handbook surveys and evaluates the state of play and charts the innovations that will determine the path ahead, making it a valuable resource for researchers, practitioners, and policymakers.
Format: Hardback
Length: 500 pages
Publication date: 14 April 2022
Publisher: Cambridge University Press
Stress tests are a groundbreaking regulatory tool that has revolutionized the approach to preventing and combating financial crises. Their widespread adoption has significantly impacted the modeling of financial systems, financial risk management practices in both the public and private sectors, and the policies formulated to mitigate and prevent such crises. In the aftermath of financial crises, stress tests become pivotal in shaping public policy responses. While their importance is widely acknowledged, there is ongoing debate regarding the optimal design and effective implementation of stress tests.
To address this gap, this handbook, written by an esteemed international team of experts from academia, the public sector, and the private sector, provides a comprehensive survey and evaluation of the current state of play in financial stress testing. It explores innovative approaches and identifies the key developments that will shape the future of this critical tool.
The handbook is a valuable resource for researchers, practitioners, and policymakers engaged in financial risk management and financial regulation. It offers a comprehensive and interdisciplinary perspective, bridging theory and practice and placing financial stress testing within its broader context. By providing a comprehensive guide to the state-of-the-art practices and emerging trends in stress testing, this handbook equips readers with the knowledge and tools necessary to navigate the complex landscape of financial risk management and contribute to the stability and resilience of the global financial system.
ISBN-13: 9781108830737
Edition number: New ed
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