Zobrazeno 1 - 10
of 1 395
pro vyhledávání: '"Model risk"'
Autor:
Thomas F. O'Connor, Sharmista Chatterjee, Johnny Lam, Dolores Hernán Pérez de la Ossa, Leticia Martinez-Peyrat, Marcel H.N. Hoefnagel, Adam C. Fisher
Publikováno v:
International Journal of Pharmaceutics: X, Vol 8, Iss , Pp 100274- (2024)
Process models are a growing tool for pharmaceutical manufacturing process design and control. The Industry 4.0 paradigm promises to increase the amount of data available to understand manufacturing processes. Tools such as Artificial Intelligence (A
Externí odkaz:
https://doaj.org/article/6619b4794e8243f7b9e0806374264fea
Autor:
Modisane B. Seitshiro, Seshni Govender
Publikováno v:
Cogent Economics & Finance, Vol 12, Iss 1 (2024)
AbstractThe credit risk assessment process is necessary for maintaining financial stability, cost and time efficiency, model performance accuracy, comparability analysis and future business implications in the commercial banking sector. By accurately
Externí odkaz:
https://doaj.org/article/62d77f92545243b48ea887cac17961f7
Publikováno v:
South African Journal of Economic and Management Sciences, Vol 27, Iss 1, Pp e1-e13 (2024)
Background: An improved understanding of the reasoning behind model decisions can enhance the use of machine learning (ML) models in credit scoring. Although ML models are widely regarded as highly accurate, the use of these models in settings that r
Externí odkaz:
https://doaj.org/article/3e01affa7e7c42728350d66442769af9
Autor:
Michael Jacobs, Jr
Publikováno v:
Data Science in Finance and Economics, Vol 4, Iss 1, Pp 1-52 (2024)
In this study we investigate alternative interpretable machine learning ("IML") models in the context of probability of default ("PD") modeling for the large corporate asset class. IML models have become increasingly prominent in highly regulated ind
Externí odkaz:
https://doaj.org/article/44ea04c9d1584642b54fa2b545b95f5b
Autor:
Andrey Yu. Nevela, Victor A. Lapshin
Publikováno v:
Финансовый журнал, Vol 14, Iss No. 2, Pp 91-112 (2022)
Model risk is currently a topic of great interest both to the academic community and to the financial industry; however, there is not yet any generally accepted approach to measuring it as of now. We give a review of basic model risk definitions and
Externí odkaz:
https://doaj.org/article/d87fa64a35a0458dbfc1b931f9734a65
Publikováno v:
Финансовый журнал, Vol 14, Iss No. 5, Pp 105-119 (2022)
The introduction of Big Data technology into banking activities is aimed at improving the efficiency of banks, improving business processes, however, it creates new risk factors and determines the need to transform regulatory approaches. The purpose
Externí odkaz:
https://doaj.org/article/29baf4acb9014f2fb2ccf41139667fd4
Publikováno v:
Journal of Engineering, Vol 18, Iss 03 (2023)
Information security contributes directly to increase the level of trust between the government’s departments by providing an assurance of confidentiality, integrity, and availability of sensitive governmental information. Many threats that are cau
Externí odkaz:
https://doaj.org/article/a0f5413de8704dcaabb47819e5ba026b
Akademický článek
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Publikováno v:
Genus, Vol 78, Iss 1, Pp 1-18 (2022)
Abstract Population aging is evolving at different rates across countries and over time, and it represents a long-term challenge for both the sustainability of pension schemes and for the realization of public intergenerational transfers. In this con
Externí odkaz:
https://doaj.org/article/64b08789fe564822a06637d29e82c269
Publikováno v:
Advances in Pacific Basin Business, Economics and Finance