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Model Risk Management in the Era of Artificial Intelligence

datacite.subject.fosCiências Naturais::Ciências da Computação e da Informaçãopt_PT
dc.contributor.advisorAshofteh, Afshin
dc.contributor.authorHuang, Xiaona
dc.date.accessioned2024-10-31T09:49:16Z
dc.date.available2024-10-31T09:49:16Z
dc.date.issued2024-10-25
dc.descriptionDissertation presented as the partial requirement for obtaining a Master's degree in Statistics and Information Management, specialization in Risk Analysis and Managementpt_PT
dc.description.abstractIn the evolving landscape of financial technology, this thesis aims to study the critical topic of Model Risk Management for Artificial Intelligence (AI) and Machine Learning (ML) Models, aiming to address the growing dependence of financial institutions on these technologies and the urgent need for robust risk assessment and mitigation strategies for model risk. We started with a comprehensive literature review conducted through Scopus and Web of Science databases with a content analysis of 142 papers. Additionally, the ECB TRIM guide and Model Risk Management (MRM) framework were reviewed to identify the latest progress in this field and possible research gaps. According to the research gaps identified in previous steps, a study on articles and reports about model risks from five leading financial institutions in the finance sector, namely, Ernst & Young, PwC, KPMG, Deloitte, and McKinsey, was conducted. As a result, the research identified a significant increase in the adoption of AI and ML models in the financial sector. Conclusively, the thesis provided insightful contributions to the model risk management by highlighting the need for advanced understanding and development of sophisticated strategies, promoting a more resilient financial ecosystem, and serving as a resource for future research and practical guidance in AI and ML model risk management.pt_PT
dc.identifier.tid203779649pt_PT
dc.identifier.urihttp://hdl.handle.net/10362/174368
dc.language.isoengpt_PT
dc.rights.urihttp://creativecommons.org/licenses/by/4.0/pt_PT
dc.subjectModel Riskpt_PT
dc.subjectModel Risk Managementpt_PT
dc.subjectFinancept_PT
dc.subjectMachine Learningpt_PT
dc.subjectArtificial Intelligencept_PT
dc.subjectModel Governancept_PT
dc.subjectLearning Systemspt_PT
dc.titleModel Risk Management in the Era of Artificial Intelligencept_PT
dc.typemaster thesis
dspace.entity.typePublication
rcaap.rightsopenAccesspt_PT
rcaap.typemasterThesispt_PT
thesis.degree.nameMestrado em Estatística e Gestão de Informação, especialização em Análise e Gestão de Riscopt_PT

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