Management Strategies and Dynamic Financial Analysis

Management Strategies and Dynamic Financial Analysis
Author :
Publisher :
Total Pages : 23
Release :
ISBN-10 : OCLC:1290236171
ISBN-13 :
Rating : 4/5 (71 Downloads)

Synopsis Management Strategies and Dynamic Financial Analysis by : Martin Eling

Dynamic financial analysis (DFA) has become an important tool in analyzing the financial situation of insurance companies. Constant development and documentation of DFA tools has occurred during the last years. However, several questions concerning the implementation of DFA systems have not been answered in the DFA literature to date. One such important issue is the consideration of management strategies in the DFA context. The aim of this paper is to study the effects of different management strategies on a non-life insurer's risk and return profile. Therefore, we develop several management strategies and test them numerially within a DFA simulation study.

Dynamic Financial Analysis A Complete Guide - 2020 Edition

Dynamic Financial Analysis A Complete Guide - 2020 Edition
Author :
Publisher : 5starcooks
Total Pages : 308
Release :
ISBN-10 : 1867316676
ISBN-13 : 9781867316671
Rating : 4/5 (76 Downloads)

Synopsis Dynamic Financial Analysis A Complete Guide - 2020 Edition by : Gerardus Blokdyk

What is your organizations process which leads to recognition of value generation? Think about some of the processes you undertake within your organization, which do you own? How will you know that the Dynamic financial analysis project has been successful? How is the way you as the leader think and process information affecting your organizational culture? What is the definition of Dynamic financial analysis excellence? This breakthrough Dynamic Financial Analysis self-assessment will make you the credible Dynamic Financial Analysis domain assessor by revealing just what you need to know to be fluent and ready for any Dynamic Financial Analysis challenge. How do I reduce the effort in the Dynamic Financial Analysis work to be done to get problems solved? How can I ensure that plans of action include every Dynamic Financial Analysis task and that every Dynamic Financial Analysis outcome is in place? How will I save time investigating strategic and tactical options and ensuring Dynamic Financial Analysis costs are low? How can I deliver tailored Dynamic Financial Analysis advice instantly with structured going-forward plans? There's no better guide through these mind-expanding questions than acclaimed best-selling author Gerard Blokdyk. Blokdyk ensures all Dynamic Financial Analysis essentials are covered, from every angle: the Dynamic Financial Analysis self-assessment shows succinctly and clearly that what needs to be clarified to organize the required activities and processes so that Dynamic Financial Analysis outcomes are achieved. Contains extensive criteria grounded in past and current successful projects and activities by experienced Dynamic Financial Analysis practitioners. Their mastery, combined with the easy elegance of the self-assessment, provides its superior value to you in knowing how to ensure the outcome of any efforts in Dynamic Financial Analysis are maximized with professional results. Your purchase includes access details to the Dynamic Financial Analysis self-assessment dashboard download which gives you your dynamically prioritized projects-ready tool and shows you exactly what to do next. Your exclusive instant access details can be found in your book. You will receive the following contents with New and Updated specific criteria: - The latest quick edition of the book in PDF - The latest complete edition of the book in PDF, which criteria correspond to the criteria in... - The Self-Assessment Excel Dashboard - Example pre-filled Self-Assessment Excel Dashboard to get familiar with results generation - In-depth and specific Dynamic Financial Analysis Checklists - Project management checklists and templates to assist with implementation INCLUDES LIFETIME SELF ASSESSMENT UPDATES Every self assessment comes with Lifetime Updates and Lifetime Free Updated Books. Lifetime Updates is an industry-first feature which allows you to receive verified self assessment updates, ensuring you always have the most accurate information at your fingertips.

Financial Analysis Tools and Techniques: A Guide for Managers

Financial Analysis Tools and Techniques: A Guide for Managers
Author :
Publisher : McGraw Hill Professional
Total Pages : 510
Release :
ISBN-10 : 9780071395410
ISBN-13 : 0071395415
Rating : 4/5 (10 Downloads)

Synopsis Financial Analysis Tools and Techniques: A Guide for Managers by : Erich A. Helfert

Praise for Financial Analysis Tools and Techniques: "Bona fide treasury for executives, managers, entrepreneurs. Have long used this great work in corporate & university programs. Uniquely makes the arcane clear."Allen B. Barnes, Provost, IBM Advanced Business Institute "A candidate for every consultant-to-management's bookshelf. Its beauty lies in the dynamic model of the business system and its management decision framework."Stanley Press CMC, Book review in C2M Consulting to Management Journal "Goes a long way to remove the mystery from business finance. Approach allows managers from all areas to understand how their decisions impact shareholder value."Stephen E. Frank, Chairman and Chief Executive Officer, Southern California Edison "Helfert has rare ability to make financial concepts understandable to those lacking financial background. His finance seminars exceeded our high expectations."L. Pendleton Siegel, Chairman and Chief Executive Officer, Potlatch Corporation "Commend the clarity, organization and currency of contents. There is no other book available that does the task in such an understandable and accessible way."Dr. Thomas F. Hawk, Frostburg State University "Helfert's excellent overviews and simplified models effectively broadened our managers' understanding of their fiscal responsibility to HP and our shareholders."Robert P. Wayman, Executive Vice President, Chief Financial Officer, Hewlett-Packard Company "The book has become a classic, and Helfert has been of substantial help to my company in teaching our people how to think about the numbers which drive it."Robert J. Saldich, President and Chief Executive Officer, Raychem Corporation "Helfert has contributed to the development of financial skills of TRW managers through his book, case studies and presentations, and highly rated instruction."Peter S. Hellman, President and Chief Operating Officer, TRW Inc. "Helfert has the ability to make financial concepts understandable, and his credibility and content added significantly to the success of our educational effort."Giulio Agostini, Senior Vice President Finance, and Office Administration, 3M Corporation "Helfert's writing and teaching have become a mainstay for us, and his business and strategic sense have been recognized as valuable guides to our process."William H. Clover, Ph.D., Manager of Training, and AMOCO Learning Center Concepts and tools for making sound business decisions Financial Analysis Tools and Techniques, a business-focused revision of Erich Helfert's perennial college bestseller Techniques of Financial Analysis, is a quick, easy read for nonfinancial managers and an excellent refresher and reference for finance professionals. This practical, hands-on guide provides a new introductory chapter that gives context to today's valuation turmoil and helps professionals understand the economic drivers of a business and the importance of cash flow. The book's overriding theme is that any business should be viewed as a dynamic, integrated system of cash flowsone that can be activated and managed by investment decisions. Topics, discussed in clear, comprehensive, and easy-to-understand detail, include: Increasing shareholder value through value-based management (VBM) Interpreting pro forma financial statements

Modeling and Management of Nonlinear Dependencies - Copulas in Dynamic Financial Analysis

Modeling and Management of Nonlinear Dependencies - Copulas in Dynamic Financial Analysis
Author :
Publisher :
Total Pages : 40
Release :
ISBN-10 : OCLC:1290235759
ISBN-13 :
Rating : 4/5 (59 Downloads)

Synopsis Modeling and Management of Nonlinear Dependencies - Copulas in Dynamic Financial Analysis by : Martin Eling

The aim of this paper is to study the influence of nonlinear dependencies on a nonlife insurer's risk and return profile. To achieve this, we integrate several copula models in a dynamic financial analysis (DFA) framework and conduct numerical tests within a simulation study. We also test several management strategies in response to adverse outcomes generated by nonlinear dependencies. We find that nonlinear dependencies have a crucial influence on the insurer's risk profile that can hardly be affected by the analyzed management strategies. Depending on the copula concept employed, we find large differences in risk assessment for the ruin probability and for the expected policyholder deficit. This has important implications for regulators and rating agencies that use these risk measures as a foundation for capital standards and ratings.

Techniques of Financial Analysis

Techniques of Financial Analysis
Author :
Publisher : McGraw-Hill/Irwin
Total Pages : 586
Release :
ISBN-10 : UCSD:31822028216372
ISBN-13 :
Rating : 4/5 (72 Downloads)

Synopsis Techniques of Financial Analysis by : Erich A. Helfert

This best-selling practical guide for managers and students of business emphasizes the financial concepts and tools that are essential for making sound business decisions in order to create shareholder value. The book's major appeal for over 35 years, with 500,000 copies in print in 9 languages, has been its direct, concise, no-nonsense approach. The 10th (millennium) edition maintains the unique perspective that any business can be viewed as a dynamic, integrated system of cash flows, which are activated by management decisions. The new edition is integrated with an advanced financial analysis and planning application, Financial Genome, which is available from www.modernsoft.com, together with free templates illustrating the key concepts and diagrams of the book.Check out Financial Genome at http: //www.modernsoft.com

Techniques of Financial Analysis

Techniques of Financial Analysis
Author :
Publisher : Irwin Professional Publishing
Total Pages : 628
Release :
ISBN-10 : 0256120250
ISBN-13 : 9780256120257
Rating : 4/5 (50 Downloads)

Synopsis Techniques of Financial Analysis by : Erich A. Helfert

This best-selling practical guide for managers and students of business emphasizes the financial concepts and tools that are essential for making sound business decisions in order to create shareholder value. The books major appeal for over 35 years, with 500,000 copies in print in 9 languages, has been its direct, concise, no-nonsense approach. The 10th (millennium) edition maintains the unique perspective that any business can be viewed as a dynamic, integrated system of cash flows, which are activated by management decisions. The new edition is integrated with an advanced financial analysis and planning application, Financial Genome, which is available from www.modernsoft.com, together with free templates illustrating the key concepts and diagrams of the book. Check out Financial Genome at http://www.modernsoft.com

Institutional Money Management

Institutional Money Management
Author :
Publisher : John Wiley & Sons
Total Pages : 418
Release :
ISBN-10 : 9781118148761
ISBN-13 : 1118148762
Rating : 4/5 (61 Downloads)

Synopsis Institutional Money Management by : David M. Smith

An informative look at institutional investment management methods and practice The policies, practices, and decisions of institutional investment managers worldwide affect the economic health of not only the institutions themselves, but of countless individual clients as well. Overall, this area of finance has great impact on the capital markets. Filled with in-depth insights and practical advice, Institutional Money Management is an important basis of knowledge regarding both the theory and practice of this ever-evolving area of finance. Part of the Robert W. Kolb Series in Finance, this book on institutional investment management showcases contributed chapters from professional and academic experts in banking, insurance companies, mutual funds, pension funds, and endowments. Along the way, issues covered included everything from the role of institutional investors within the financial system and the structures that have emerged and evolved to industry standards of ethical practice and investment performance presentation. Provides a detailed examination of the objectives, constraints, methods, and stakeholders for the dominant types of institutional investors Focuses on the portfolio management strategies and techniques used by institutional investors Contains contributed chapters from numerous thought-leaders in the field of finance The practice of institutional investment management presents a diverse set of challenges. But with this book as your guide, you'll gain a better understanding of how you can overcome these challenges and manage your portfolio more effectively.

Strategy, Value and Risk

Strategy, Value and Risk
Author :
Publisher : Springer Nature
Total Pages : 240
Release :
ISBN-10 : 9783030219789
ISBN-13 : 303021978X
Rating : 4/5 (89 Downloads)

Synopsis Strategy, Value and Risk by : Jamie Rogers

The current transformation of the global economy is being driven by new fundamental innovations, digitalization, industry dynamics and climate change. The impact of this transformation in terms of value migration, industry boundaries, investment and firm continuity is vast. The fourth edition of Strategy, Value and Risk examines these issues, and how they will influence firms and industries in the future. Those aspects of the business environment that will have a significant impact on strategy, business models, investments and value are identified, and the accounting, finance, economic and quantitative principles that provide a foundation for the analysis of these issues are discussed. Part I: Strategy, Value and Risk provides the strategic, economic, accounting and financial framework. Strategy discusses technology and innovation, industry dynamics, globalization and industry concentration, climate change, industry boundaries and future value. Value discusses the accounting framework and corporate finance and investment, while Risk covers investment risk, corporate risk management and value and risk. Part II: Quantitative Analytics provides an overview of financial statistics, derivatives and derivative applications, and provides a background on the financial economics used in the analysis of physical, intangible, financial and energy assets. Part III: The Analysis of Investments, Transformation and Value examines platforms, data and analytics, the energy sector, pharmaceutical and biotech, a growth firm and media transformation, and applies the accounting, economic, financial and quantitative concepts. This fourth edition lays out scenarios that will likely shape firms and industries in the future, and has relevance to CFOs, corporate finance and investment professionals. Business model disruption, data and analytics, intangible assets and dynamic analysis are now key issues within the CFO role. Investment professionals are required to see the larger economic environment in which firms compete, assess a firm’s industry and its position within that industry, recognize which investments best serve its broad strategic goals and identify a firm’s capabilities and options. A background in the accounting, finance, economic, quantitative and valuation concepts that are relevant to the digital economy, new industries, business models and technologies is essential for finance professionals. This book addresses these issues within the context of the fundamental changes underway in the global economy, and provides applications of the techniques to illustrate the concepts.

Managing Investment Portfolios

Managing Investment Portfolios
Author :
Publisher : John Wiley & Sons
Total Pages : 1255
Release :
ISBN-10 : 9780470635346
ISBN-13 : 0470635347
Rating : 4/5 (46 Downloads)

Synopsis Managing Investment Portfolios by : John L. Maginn

"A rare blend of a well-organized, comprehensive guide to portfolio management and a deep, cutting-edge treatment of the key topics by distinguished authors who have all practiced what they preach. The subtitle, A Dynamic Process, points to the fresh, modern ideas that sparkle throughout this new edition. Just reading Peter Bernstein's thoughtful Foreword can move you forward in your thinking about this critical subject." —Martin L. Leibowitz, Morgan Stanley "Managing Investment Portfolios remains the definitive volume in explaining investment management as a process, providing organization and structure to a complex, multipart set of concepts and procedures. Anyone involved in the management of portfolios will benefit from a careful reading of this new edition." —Charles P. Jones, CFA, Edwin Gill Professor of Finance, College of Management, North Carolina State University