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Model Risk Identification and Management in Investment Risk Framework

Best for: Risk Analyst, Investment Manager, Quantitative Analyst, Model Risk Manager, Investment Risk Manager.

Model risk is a critical concern in investment risk management, as models play a central role in decision-making and performance evaluation. This prompt explores key considerations for identifying and managing model risk effectively within an investment risk framework. By understanding the sources of model risk, implementing robust validation processes, and adopting appropriate risk mitigation strategies, investment managers can enhance the reliability and integrity of their investment models, leading to improved decision-making and risk management outcomes.

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