This book deals with an overview on value at risk model of bank cash management with application to Lebanon. The book also covers key areas in banks, cash management, uncertainty of withdrawals, predicting regression, value at risk, stress testing, newsvendor inventory model, optimization. This book contains various materials suitable for students, researchers and academicians of this area.
An Overview on Value at Risk Model of Bank Cash Management with Application to Lebanon
Samih Antoine Azar
Faculty of Business Administration and Economics, Haigazian University, Beirut, Lebanon.
Book Details
Author | Samih Antoine Azar |
---|---|
Pages | 13 |
Publisher | Book Publisher International |
Language | English |
ISBN-13 (15) | 978-93-90431-08-3 (Print) |
Published | Oct 10, 2020 |
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