arXiv Open Access 2024

Lessons From Model Risk Management in Financial Institutions for Academic Research

Mahmood Alaghmandan Olga Streltchenko
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Abstrak

In this paper, we discuss aspects of model risk management in financial institutions which could be adopted by academic institutions to improve the process of conducting academic research, identify and mitigate existing limitations, decrease the possibility of erroneous results, and prevent fraudulent activities.

Topik & Kata Kunci

Penulis (2)

M

Mahmood Alaghmandan

O

Olga Streltchenko

Format Sitasi

Alaghmandan, M., Streltchenko, O. (2024). Lessons From Model Risk Management in Financial Institutions for Academic Research. https://arxiv.org/abs/2406.14776

Akses Cepat

Lihat di Sumber
Informasi Jurnal
Tahun Terbit
2024
Bahasa
en
Sumber Database
arXiv
Akses
Open Access ✓