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    Weather Value at Risk: On the Measurement of Noncatastrophic Weather Risk

    Source: Weather, Climate, and Society:;2012:;volume( 004 ):;issue: 003::page 190
    Author:
    Toeglhofer, Christoph
    ,
    Mestel, Roland
    ,
    Prettenthaler, Franz
    DOI: 10.1175/WCAS-D-11-00062.1
    Publisher: American Meteorological Society
    Abstract: n evaluation of weather risk entails two important objectives: indicating the economic impact of weather variability and climate change, and evaluating the use of weather derivatives in weather risk reduction and climate change adaptation strategy. This paper illustrates a straightforward approach for measuring weather risk, which captures both the exposure and the sensitivity of business and economic indicators to weather variability. Using the example of the accommodation industry in Kitzbuehel (Austria), it is demonstrated that the risk measure Weather-VaR can be used to serve both ends. It is found that compared to a normal climatological season, adverse snow conditions (at the level of a 1 in 20-yr event) result in a substantial financial loss of approximately 4 million euros. However, results show that quantification of weather risk is substantially affected by the choice of the weather variable or index, the time period under consideration, the model specification for estimating the sensitivity parameter, and whether time trends are considered when estimating the probability of unfavorable weather conditions.
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      Weather Value at Risk: On the Measurement of Noncatastrophic Weather Risk

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    https://yetl.yabesh.ir/yetl1/handle/yetl/4232119
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    contributor authorToeglhofer, Christoph
    contributor authorMestel, Roland
    contributor authorPrettenthaler, Franz
    date accessioned2017-06-09T17:37:45Z
    date available2017-06-09T17:37:45Z
    date copyright2012/07/01
    date issued2012
    identifier issn1948-8327
    identifier otherams-88349.pdf
    identifier urihttp://onlinelibrary.yabesh.ir/handle/yetl/4232119
    description abstractn evaluation of weather risk entails two important objectives: indicating the economic impact of weather variability and climate change, and evaluating the use of weather derivatives in weather risk reduction and climate change adaptation strategy. This paper illustrates a straightforward approach for measuring weather risk, which captures both the exposure and the sensitivity of business and economic indicators to weather variability. Using the example of the accommodation industry in Kitzbuehel (Austria), it is demonstrated that the risk measure Weather-VaR can be used to serve both ends. It is found that compared to a normal climatological season, adverse snow conditions (at the level of a 1 in 20-yr event) result in a substantial financial loss of approximately 4 million euros. However, results show that quantification of weather risk is substantially affected by the choice of the weather variable or index, the time period under consideration, the model specification for estimating the sensitivity parameter, and whether time trends are considered when estimating the probability of unfavorable weather conditions.
    publisherAmerican Meteorological Society
    titleWeather Value at Risk: On the Measurement of Noncatastrophic Weather Risk
    typeJournal Paper
    journal volume4
    journal issue3
    journal titleWeather, Climate, and Society
    identifier doi10.1175/WCAS-D-11-00062.1
    journal fristpage190
    journal lastpage199
    treeWeather, Climate, and Society:;2012:;volume( 004 ):;issue: 003
    contenttypeFulltext
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