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Jón Daníelsson is a prominent figure in the field of financial risk management, known for his extensive work on forecasting market risks. He has authored several influential books, including "Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab" and "The Illusion of Control: Why Financial Crises Happen, and What We Can (and Can’t) Do About It." His research often focuses on the complexities and unpredictability of financial markets, emphasizing the limitations of traditional risk management practices.

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