The impact of the financial crisis on operational risk in the financial services industry: empirical evidence

被引:27
|
作者
Hess, Christian [1 ,2 ]
机构
[1] Univ Ulm, Inst Insurance Sci, D-89081 Ulm, Germany
[2] SudLeasing GmbH, LBBW Landesbank Baden Wurttemberg, D-70173 Stuttgart, Germany
来源
JOURNAL OF OPERATIONAL RISK | 2011年 / 6卷 / 01期
关键词
COPULAS; LOSSES;
D O I
10.21314/JOP.2011.087
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
The aim of this paper is to analyze operational risk in the context of the 2007-9 financial crisis. The world's largest repository of information on publicly reported operational losses, SAS OpRisk Global Data, was chosen as the underlying dataset. We find a significant impact on the riskiness of the loss severity for the trading and sales and retail brokerage business lines (BLs) due to the financial crisis. Losses from investment banks caused by the market failure of auction rate securities are responsible for this result. Thus, we compute a 150% higher valueat-risk (VaR) for the BL trading and sales and a 50% higher VaR for the BL retail brokerage when considering the financial crisis data. However, the other BLs are not affected by the financial crisis.
引用
收藏
页码:23 / 35
页数:13
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