دورية أكاديمية

AGGREGATE MODEL RISK MANAGEMENT.

التفاصيل البيبلوغرافية
العنوان: AGGREGATE MODEL RISK MANAGEMENT.
المؤلفون: YAN SHI1 Yan.shi@morganstanley.com, YOUNG, H. WALTER2 hyoung@mtb.com, LANTSMAN, YAKOV3 ylantsman@mtb.com, WEI, CHAOJIE4 atjwei@mtb.com
المصدر: RMA Journal. Nov2016, Vol. 99 Issue 3, p44-49. 6p.
مصطلحات موضوعية: *FINANCIAL institutions, *BIG data
مستخلص: The article reports that the financial institutions produce and run big data in their daily operations to convert the data into useful information depends on serviceable models.
قاعدة البيانات: Business Source Index