A New Approach to Spreadsheet Analytics Management in Financial Markets

dc.creatorSentence, Brian
dc.date2008-02-20
dc.date.accessioned2026-07-07T09:25:30Z
dc.date.available2026-07-07T09:25:30Z
dc.descriptionSpreadsheets in financial markets are frequently used as database, calculator and reporting application combined. This paper describes an alternative approach in which spreadsheet design and database technology have been brought together in order to alleviate management and regulatory concerns over the operational risks of spreadsheet usage. In particular, the paper focuses on the rapid creation and centralised deployment of statistical analytics within a software system now in use by major investment banks, and presents a novel technique for the manipulation in spreadsheets of high volumes of intraday market data.
dc.description9 Pages, 9 Colour Figures
dc.identifierhttps://arxiv.org/abs/0802.2932
dc.identifierhttp://arxiv.org/abs/0802.2932
dc.identifierProc. European Spreadsheet Risks Int. Grp. (EuSpRIG) 2006 65-72 ISBN:1-905617-08-9
dc.identifier.urihttp://salesiana.dossiersoluciones.com/handle/123456789/156427
dc.subjectSoftware Engineering
dc.subjectComputers and Society
dc.subjectJ.1; H.4.1; K.6.4; D.2.9
dc.titleA New Approach to Spreadsheet Analytics Management in Financial Markets
dc.typetext

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