While most of my articles here are about quantitative methods and models, I am always trying to follow media updates about how Mr. Market and the economy are going.
In the world of finance and investment, risk management is a critical component of decision-making. Investment professionals, portfolio managers, and financial institutions rely on risk models to quantify and
As investors we are always trying to maximize the return of our investments. Usually the assets with highest return also carry along a high variability, which can be translated