Financial Analysis and Risk Management
The Global Financial Crisis and the Eurozone crisis that has followed have drawn attention to weaknesses in financial records, information and data.
These weaknesses have led to operational risks in financial institutions, flawed bankruptcy and foreclosure proceedings following the Crisis, and inadequacies in financial supervisors’ access to records and information for the purposes of a prudential response. Research is needed to identify the practices that will provide the records, information and data needed to support more effective financial analysis and risk management.
The unique contribution of this volume is in bringing together researchers in distinct domains that seldom interact to identify theoretical, technological, policy and practical issues related to the management of financial records, information and data.
Addresses critical research challenges and proposes novel approaches to addressing the records and information challenges of effective analysis and management of financial risk First of a kind exploration of records and information management in finance from a multi and interdisciplinary perspective Contributors include experienced senior policy advisors and researchers who are influencing the future direction of financial regulation and policy in their respective countries and younger researchers who are conducting ground-breaking research in their areas