Risk Management And Insurance Perspectives In A Global Economy
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Author |
: Harold D. Skipper/w. Jean Kwon |
Publisher |
: John Wiley & Sons |
Total Pages |
: 772 |
Release |
: 2008-04-07 |
ISBN-10 |
: 8126515937 |
ISBN-13 |
: 9788126515936 |
Rating |
: 4/5 (37 Downloads) |
Synopsis Risk Management And Insurance: Perspectives In A Global Economy by : Harold D. Skipper/w. Jean Kwon
This book provides an in-depth understanding of international risk management and insurance, their dynamics, and the economic, social, political, and regulatory environments surrounding global risk and insurance markets.· Introduction· Factors Shaping the Risk Environment Internationally· Enterprise Risk Management in a Global Economy· Insurance in a Global Economy· Conclusions
Author |
: Harold D. Skipper |
Publisher |
: |
Total Pages |
: 0 |
Release |
: 2007 |
ISBN-10 |
: OCLC:1392106885 |
ISBN-13 |
: |
Rating |
: 4/5 (85 Downloads) |
Synopsis Risk Management and Insurance by : Harold D. Skipper
Author |
: Ziolo, Magdalena |
Publisher |
: IGI Global |
Total Pages |
: 383 |
Release |
: 2019-10-25 |
ISBN-10 |
: 9781799810353 |
ISBN-13 |
: 1799810356 |
Rating |
: 4/5 (53 Downloads) |
Synopsis Social, Economic, and Environmental Impacts Between Sustainable Financial Systems and Financial Markets by : Ziolo, Magdalena
Sustainable development is necessary to counteract and mitigate the impact of socially harmful forces in a globalized world. However, sustainable development and its organizations must ensure the effective management of their funds and beneficial financial frameworks in order to best realize their sustainable goals. There is a need for studies that seek to understand how to connect sustainable development and the financial world in order to maximize the economic and environmental wellbeing of the world. Social, Economic, and Environmental Impacts Between Sustainable Financial Systems and Financial Markets is a pivotal reference source that examines the funding and monetary utilization of environmental and socially-responsible entities. Featuring research on topics such as green taxes, intergenerational equity, and shadow economy, this book is ideally designed for government officials, policymakers, economists, financial managers, sustainability developers, and academicians seeking current research on the relationship between new sustainable financial phenomena and negative global externalities.
Author |
: H. Gifford Fong |
Publisher |
: World Scientific |
Total Pages |
: 233 |
Release |
: 2006 |
ISBN-10 |
: 9789812700865 |
ISBN-13 |
: 9812700862 |
Rating |
: 4/5 (65 Downloads) |
Synopsis The World of Risk Management by : H. Gifford Fong
Risk management is a foundation discipline for the prudent conduct of investment management. Being effective requires ongoing evolution and adaptation. In The World of Risk Management, an expert team of contributors that include Nobel Prize laureates Robert C Merton and Harry M Markowitz addresses the important issues arising in the practice of risk management. A common thread among these distinguished articles is a rigorous theoretical or conceptual basis. Illustrated with full color figures throughout, they discuss topics ranging from broad policy considerations to detailed how-to prescriptions, providing professionals and academics with useful practical implementations.
Author |
: Daniel Wagner |
Publisher |
: Springer |
Total Pages |
: 439 |
Release |
: 2016-08-12 |
ISBN-10 |
: 9781349948604 |
ISBN-13 |
: 1349948608 |
Rating |
: 4/5 (04 Downloads) |
Synopsis Global Risk Agility and Decision Making by : Daniel Wagner
In Global Risk Agility and Decision Making, Daniel Wagner and Dante Disparte, two leading authorities in global risk management, make a compelling case for the need to bring traditional approaches to risk management and decision making into the twenty-first century. Based on their own deep and multi-faceted experience in risk management across numerous firms in dozens of countries, the authors call for a greater sense of urgency from corporate boards, decision makers, line managers, policymakers, and risk practitioners to address and resolve the plethora of challenges facing today’s private and public sector organizations. Set against the era of manmade risk, where transnational terrorism, cyber risk, and climate change are making traditional risk models increasingly obsolete, they argue that remaining passively on the side-lines of the global economy is dangerous, and that understanding and actively engaging the world is central to achieving risk agility. Their definition of risk agility taps into the survival and risk-taking instincts of the entrepreneur while establishing an organizational imperative focused on collective survival. The agile risk manager is part sociologist, anthropologist, psychologist, and quant. Risk agility implies not treating risk as a cost of doing business, but as a catalyst for growth. Wagner and Disparte bring the concept of risk agility to life through a series of case studies that cut across industries, countries and the public and private sectors. The rich, real-world examples underscore how once mighty organizations can be brought to their knees—and even their demise by simple miscalculations or a failure to just do the right thing. The reader is offered deep insights into specific risk domains that are shaping our world, including terrorism, cyber risk, climate change, and economic resource nationalism, as well as a frame of reference from which to think about risk management and decision making in our increasingly complicated world. This easily digestible book will shed new light on the often complex discipline of risk management. Readers will learn how risk management is being transformed from a business prevention function to a values-based framework for thriving in increasingly perilous times. From tackling governance structures and the tone at the top to advocating for greater transparency and adherence to value systems, this book will establish a new generation of risk leader, with clarion voices calling for greater risk agility. The rise of agile decision makers coincides with greater resilience and responsiveness in the era of manmade risk.
Author |
: Bloomsbury Publishing |
Publisher |
: Bloomsbury Publishing |
Total Pages |
: 7101 |
Release |
: 2014-11-20 |
ISBN-10 |
: 9781472915894 |
ISBN-13 |
: 1472915895 |
Rating |
: 4/5 (94 Downloads) |
Synopsis QFINANCE by : Bloomsbury Publishing
QFINANCE: The Ultimate Resource (5th edition) is the first-step reference for the finance professional or student of finance. Its coverage and author quality reflect a fine blend of practitioner and academic expertise, whilst providing the reader with a thorough education in the may facets of finance.
Author |
: Angelo Corelli |
Publisher |
: Routledge |
Total Pages |
: 487 |
Release |
: 2014-10-03 |
ISBN-10 |
: 9781317753834 |
ISBN-13 |
: 1317753836 |
Rating |
: 4/5 (34 Downloads) |
Synopsis Understanding Financial Risk Management by : Angelo Corelli
Bibliography; Exercises; Appendix: Itô's Lemma; 4 Financial derivatives; 4.1 Options and futures; 4.2 Pricing of derivatives; 4.3 Interest rate derivatives; Summary; Bibliography; Exercises; Appendix: The market price of risk; 5 Market risk; 5.1 Market risk metrics; 5.2 VaR calculation methods; 5.3 Inside VaR; Summary; Bibliography; Exercises; Appendix: Factor mapping for VaR; 6 Interest rate risk; 6.1 The dynamics of interest rates; 6.2 Short-rate models; 6.3 IRR management; Summary; Bibliography; Exercises; Appendix: Principal component analysis of the term structure; 7 Credit risk.
Author |
: Jamie Peck |
Publisher |
: SAGE |
Total Pages |
: 273 |
Release |
: 2003-08-07 |
ISBN-10 |
: 9781412933148 |
ISBN-13 |
: 1412933145 |
Rating |
: 4/5 (48 Downloads) |
Synopsis Remaking the Global Economy by : Jamie Peck
`This book skillfully navigates the shoals of place and space to explain the intricacies of globalization. For those interested in the changing geography of global capitalism, Peck and Yeung is a "must read"′ - James H Mittelman, American University Remaking the Global Economy offers a state -of-the-art survey of geographical perspectives on the restructuring and reorganization of the global economy. With contributions from leading figures in the globalization debate, the book explores the latest thinking and research, as well as the enduring controversies, across a range of interrelated issues, including: - firm strategies and business knowledge - interactions between firms and nation states - production and innovation systems - transnationalism and labour markets - state restructuring. Each of the specially commissioned chapters presents interdisciplinary insights into the complex processes of economic globalization and their impact on the organization of firms, markets, industries, regions, and institutions. An integrated and comprehensive account, this is a résumé of the latest work in the literature on globalization that will provide a detailed map of the geography of the global economy.
Author |
: Peter Zweifel |
Publisher |
: Springer Science & Business Media |
Total Pages |
: 461 |
Release |
: 2012-02-24 |
ISBN-10 |
: 9783642205484 |
ISBN-13 |
: 3642205488 |
Rating |
: 4/5 (84 Downloads) |
Synopsis Insurance Economics by : Peter Zweifel
"Winner of the 2014 Kulp-Wright Book Award Presented by the American Risk and Insurance Association". More information can be found here: http://www.aria.org/awards/bookawards.htm Insurance Economics brings together the economic analysis of decision making under risk, risk management and demand for insurance by individuals and corporations, objectives pursued and management tools used by insurance companies, the regulation of insurance, and the division of labor between private and social insurance. Appropriete both for advanced undergraduate and graduate students of economics, management, and finance, this text provides the background required to understand current research. Predictions derived from theoretical argument are not only stated but confronted with empirical evidence. Throughout the book, conclusions summarize results, helping readers to check their knowledge and understanding. Issues discussed include paradoxa in decision making under risk, selection of favorable risks by insurers, the possibility of a "death spiral" in insurance markets, and future challenges such as re-regulation in the wake of the 2007-09 financial crisis and the increasing availability of generic information.
Author |
: Piotr Jedynak |
Publisher |
: Routledge |
Total Pages |
: 153 |
Release |
: 2021-08-19 |
ISBN-10 |
: 9781000457285 |
ISBN-13 |
: 1000457281 |
Rating |
: 4/5 (85 Downloads) |
Synopsis Risk Management in Crisis by : Piotr Jedynak
Risk management is a domain of management which comes to the fore in crisis. This book looks at risk management under crisis conditions in the COVID-19 pandemic context. The book synthesizes existing concepts, strategies, approaches and methods of risk management and provides the results of empirical research on risk and risk management during the COVID-19 pandemic. The research outcome was based on the authors’ study on 42 enterprises of different sizes in various sectors, and these firms have either been negatively affected by COVID-19 or have thrived successfully under the new conditions of conducting business activities. The analysis looks at both the impact of the COVID-19 pandemic on the selected enterprises and the risk management measures these enterprises had taken in response to the emerging global trends. The book puts together key factors which could have determined the enterprises’ failures and successes. The final part of the book reflects on how firms can build resilience in challenging times and suggests a model for business resilience. The comparative analysis will provide useful insights into key strategic approaches of risk management. The Open Access version of this book, available at http://www.taylorfrancis.com/books/oa-mono/10.4324/9781003131366/ has been made available under a Creative Commons Attribution-Non Commercial-No Derivatives 4.0 license.