Análisis Económico y economía cuantitativa
Departamento
Juan-Ángel
Jiménez-Martín
Publicaciones en las que colabora con Juan-Ángel Jiménez-Martín (14)
2015
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A Stochastic Dominance Approach to the Basel III Dilemma: Expected Shortfall or VaR?
Documentos de Trabajo (ICAE)
2014
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A Stochastic Dominance Approach to Financial Risk Management Strategies
Documentos de Trabajo (ICAE)
2012
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Has the Basel Accord Improved Risk Management During the Global Financial Crisis?
Documentos de Trabajo (ICAE)
2011
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GFC-Robust Risk Management Under the Basel Accord Using Extreme Value Methodologies
Documentos de Trabajo (ICAE)
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International Evidence on GFC-robust Forecasts for Risk Management under the Basel Accord
Documentos de Trabajo (ICAE)
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Risk Management of Risk Under the Basel Accord: A Bayesian Approach to Forecasting Value-at-Risk of VIX Futures
Documentos de Trabajo (ICAE)
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Risk Management of Risk under the Basel Accord: Forecasting Value-at-Risk of VIX Futures
Documentos de Trabajo (ICAE)
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The Rise and Fall of S&P500 Variance Futures
Documentos de Trabajo (ICAE)
2010
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GFC-Robust Risk Management Strategies under the Basel Accord
Documentos de Trabajo (ICAE)
2009
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Has the Basel II Accord Encouraged Risk Management During the 2008-09 Financial Crisis?
Documentos de Trabajo (ICAE)
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Optimal Risk Management Before, During and After the 2008-09 Financial Crisis
Documentos de Trabajo (ICAE)
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State-Uncertainty preferences and the Risk Premium in: the Exchange rate market
Documentos de Trabajo (ICAE)
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The Ten Commandments for Managing Value-at-Risk Under the Basel II Accord
Documentos de Trabajo (ICAE)
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What Happened to Risk Management During the 2008-09 Financial Crisis?
Documentos de Trabajo (ICAE)