How best to mitigate risk and manage uncertainty
After the recent financial crisis, uncertainty and its consequences have become a major concern for many prominent academics, yet practitioners are constrained by probability-based tools and regulatory mandates
January 6, 2016
World Finance asked Nick Firoozye, co-author of Managing Uncertainty, Mitigating Risk, to talk through a case study of how best to manage uncertainty and mitigate risk.
Come back later for a full transcript of this video.