Center of Financial and Risk Analytics
Financial institutions face significant analytical demands in areas such as securities trading, portfolio management, risk management, and regulatory compliance. The agencies overseeing the financial system are charged with monitoring a complex network of thousands of interacting institutions. Expanding regulatory initiatives; the growing complexity of financial products, markets and institutions; and the availability of massive amounts of data are driving increased demand for innovative analytics at organizations and supervisory agencies. The Center for Financial and Risk Analytics pioneers models, algorithms and numerical tools to address the challenging and important problems arising in this context. The Center’s faculty and doctoral students combine expertise in core areas such as stochastics, optimization, networks and algorithms with a deep understanding of financial markets to make fundamental advances of broad relevance.
Last modified Tue, 22 Jul, 2014 at 14:22