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相关论文: Lessons From Model Risk Management in Financial In…

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The success of OpenAI's ChatGPT in 2023 has spurred financial enterprises into exploring Generative AI applications to reduce costs or drive revenue within different lines of businesses in the Financial Industry. While these applications…

风险管理 · 定量金融 2025-03-21 Anwesha Bhattacharyya , Ye Yu , Hanyu Yang , Rahul Singh , Tarun Joshi , Jie Chen , Kiran Yalavarthy

I propose a new model to measure simultaneously academic and financial performances of scientific activities quantitatively. The tool is very simple and can be applied to any branches of science, while it is also adjustable to varying…

物理与社会 · 物理学 2007-05-23 L. T. Handoko

Machine learning models are increasingly used in a wide variety of financial settings. The difficulty of understanding the inner workings of these systems, combined with their wide applicability, has the potential to lead to significant new…

计算金融 · 定量金融 2021-02-10 Samuel N. Cohen , Derek Snow , Lukasz Szpruch

In statistical analysis, many classic results require the assumption that models have finite mean or variance, including the most standard versions of the laws of large numbers and the central limit theorems. Such an assumption may not be…

风险管理 · 定量金融 2024-10-28 Yuyu Chen , Ruodu Wang

Academic research projects receive hundreds of billions of dollars of government investment each year. They complement business research projects by focusing on the generation of new foundational knowledge and addressing societal…

综合经济学 · 经济学 2021-03-16 P. Alison Paprica

This paper describes the current taxonomy of model risk, ways for its mitigation and management and the importance of the model validation function in collaboration with other departments to design and implement them.

风险管理 · 定量金融 2012-11-02 Alberto Elices

Adversarial attacks for machine learning models have become a highly studied topic both in academia and industry. These attacks, along with traditional security threats, can compromise confidentiality, integrity, and availability of…

密码学与安全 · 计算机科学 2020-12-10 Jakub Breier , Adrian Baldwin , Helen Balinsky , Yang Liu

AI systems have found a wide range of application areas in financial services. Their involvement in broader and increasingly critical decisions has escalated the need for compliance and effective model governance. Current governance…

机器学习 · 计算机科学 2020-10-13 Eren Kurshan , Hongda Shen , Jiahao Chen

Regulation and risk management in banks depend on underlying risk measures. In general this is the only purpose that is seen for risk measures. In this paper we suggest that the reporting of risk measures can be used to determine the loss…

风险管理 · 定量金融 2015-03-19 Dominique Gu/'egan , Wayne Tarrant

Designing a financial market that works well is very important for developing and maintaining an advanced economy, but is not easy because changing detailed rules, even ones that seem trivial, sometimes causes unexpected large impacts and…

交易与市场微观结构 · 定量金融 2021-01-08 Takanobu Mizuta

As foundation models grow in both popularity and capability, researchers have uncovered a variety of ways that the models can pose a risk to the model's owner, user, or others. Despite the efforts of measuring these risks via benchmarks and…

密码学与安全 · 计算机科学 2025-06-04 David Piorkowski , Michael Hind , John Richards , Jacquelyn Martino

Different kinds of models are used to study various natural and technical phenomena. Usually, the researcher is limited to using a certain kind of model approach, not using others (or even not realizing the existence of other model…

其他计算机科学 · 计算机科学 2021-02-17 Anna V. Korolkova , Dmitry S. Kulyabov , Michal Hnatič

This paper presents a comprehensive overview of model validation practices and advancement in the banking industry based on the experience of managing Model Risk Management (MRM) since the inception of regulatory guidance SR11-7/OCC11-12…

计算机与社会 · 计算机科学 2024-11-12 Agus Sudjianto , Aijun Zhang

Recently, financial institutes have been dealing with an increase in financial crimes. In this context, financial services firms started to improve their vigilance and use new technologies and approaches to identify and predict financial…

机器学习 · 计算机科学 2021-05-25 Zeinab Rouhollahi

This chapter reviews the purpose and use of models from the field of complex systems and, in particular, the implications of trying to use models to understand or make decisions within complex situations, such as policy makers usually face.…

多智能体系统 · 计算机科学 2013-11-25 Bruce Edmonds , Carlos Gershenson

As the complexity and dynamism of financial markets continue to grow, traditional financial risk prediction methods increasingly struggle to handle large datasets and intricate behavior patterns. This paper explores the feasibility and…

机器学习 · 计算机科学 2024-12-24 Haowei Yang , Zhan Cheng , Zhaoyang Zhang , Yuanshuai Luo , Shuaishuai Huang , Ao Xiang

Model risk has a huge impact on any risk measurement procedure and its quantification is therefore a crucial step. In this paper, we introduce three quantitative measures of model risk when choosing a particular reference model within a…

风险管理 · 定量金融 2013-07-11 Pauline Barrieu , Giacomo Scandolo

Past research shows that spreadsheet models are prone to such a high frequency of errors and data security implications that the risk management of spreadsheet development and spreadsheet use is of great importance to both industry and…

人机交互 · 计算机科学 2008-02-26 David Chadwick

Inspired by widely-used techniques of causal modelling in risk, failure, and accident analysis, this work discusses a compositional framework for risk modelling. Risk models capture fragments of the space of risky events likely to occur…

软件工程 · 计算机科学 2025-03-21 Mario Gleirscher

In recent years, there has been a growing trend of applying Reinforcement Learning (RL) in financial applications. This approach has shown great potential to solve decision-making tasks in finance. In this survey, we present a comprehensive…

计算金融 · 定量金融 2024-11-21 Yahui Bai , Yuhe Gao , Runzhe Wan , Sheng Zhang , Rui Song
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