Essays on Qualitative and Quantitative Risk Management
English

About The Book

This book is based on the Ph.D. thesis Essays on Qualitative and Quantitative Risk Management written by the author of this book. It consists out of three essays on text mining applications in finance and the validation of a credit risk model. To be more precise the three essays address the following research questions: What kind of text mining measures are suitable in the finance area for analyzing text such as annual reports and can we use these measures to predict short-term performance or the reporting quality? Can we measure the tone of a document by using automatically calculated sentiment scores? How can we build a sentiment score that captures keywords within a larger context? Do the chapters/sections of an annual report have a different influence on the whole content of the report? How can banks validate their credit risk model with a special focus on an analytical model?This book addresses practitioners consultants analysts and bankers as well as students researchers and lecturers with focus on text mining applications in finance and the validation of credit risk models.
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