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GND: 170342891


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credit riskportfolio managementportfolio selectioncredit ratingvalue riskcontinuous timebasel accordgesetzliche rentenversicherungpublic pension systembasler akkordbank riskestimation theorymultilateral developmentpension unemploymentunemployment benefitdeposit insurancestrategic debtdebt servicearbitrage pricing
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Years of publications: 1987 - 2022

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The information on the author is retrieved from: Entity Facts (by DNB = German National Library data service), DBPedia and Wikidata

William R. M. Perraudin


Alternative spellings:
William Robert Maurice Perraudin
William R. Perraudin
William Perraudin
W. Perraudin
W. R. M. Perraudin

Biblio: Professor, Dep. of Economics, Birkbeck College, Univ. of London und Bank of England; Harvard Univ.; Univ. of Cambridge, UK and CEPR; IMF
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William R. M. Perraudin is a British economist. He is an adjunct professor and former Chair of Finance at Imperial College London, specialising in the fields of risk and pricing of debt instruments. He is a director of the risk management software and consultancy firm Risk Control Limited. As an expert in the field of risk as applied to financial regulation, Perraudin has been a special advisor to the Bank of England. He has long taken the position that the financial models in use by major institutions are insufficiently conservative. (Source: DBPedia)

External links

  • Gemeinsame Normdatei (GND) im Katalog der Deutschen Nationalbibliothek
  • Wikipedia (English)
  • Virtual International Authority File (VIAF)
  • Wikidata
  • International Standard Name Identifier (ISNI)

  • Official Website logo Official Website

    REPEC logo RePEc
    SSRN logo SSRN

    Publishing years

    1
      2022
    2
      2021
    1
      2017
    1
      2016
    1
      2010
    1
      2008
    2
      2007
    1
      2006
    1
      2005
    4
      2004
    5
      2003
    6
      2002
    6
      2001
    6
      2000
    1
      1999
    8
      1998
    11
      1997
    4
      1996
    3
      1995
    11
      1994
    6
      1993
    6
      1992
    3
      1991
    5
      1990
    2
      1989
    2
      1987

    Series

    1. DAE working paper (12)
    2. IMF working paper (9)
    3. Working papers / Bank of England (7)
    4. IMF Working Paper (3)
    5. Discussion papers / Institute of Economics, University of Copenhagen (3)
    6. Working paper (2)
    7. Global economic institutions working paper series (2)
    8. Working paper series of the network in financial markets (2)
    9. Journal of banking & finance (2)
    10. IMF working papers (1)
    11. Financial services at the crossroads: capital regulation in the twenty-first century (1)
    12. Mathematical finance (1)
    13. Papers and proceedings of the ... annual congress of the European Economic Association (1)
    14. VATT-keskustelualoitteita (1)
    15. Birkbeck working papers in economics and finance : BWPEF (1)
    16. IDB Working Paper (1)
    17. International comparison of the financial system and regulations (1)
    18. Discussion paper / Centre for Economic Policy Research (1)
    19. Working paper / Institute for Financial Research, Birkbeck College (1)