Cognitive Risk is a book about the least understood, but most pervasive risk to mankind – cognitive risks. Cognitive risks are subconscious and unconscious influence factors on human decision-making: heuristics and biases. To understand the scope of cognitive risk we look at case studies, corporate and organizational failure and the science that explains why we systemically make errors in judgment and repeat the same errors. Cognitive risk takes a multidisciplinary and pedestrian stroll throug...
Risk, Uncertainty, and Profit (Phoenix Books) (Dover Books on History, Political and Social Science)
by Frank H Knight
The Quartet and Large Systemic Financial Crises
by Robert Dan Brumbaugh
Consumer Sales Law
Fully updated and revised, this comprehensive and informative textbook provides readers with an overview of current consumer sales law and equips them with a view of how this fast-changing subject has, and will continue to develop through the inclusion of new reform proposals. This book analyzes the interaction of consumer sales law with politics, the appeal of consumer protection to politicians and the influence of the European Union and the EU Directives. It also discusses the removal of c...
I Hate Being So Incredibly Amazing But I'm An Occupational Therapist... So It Comes Naturally
by Aesthetic Productions
Risk Modeling, Assessment, and Management (Wiley Series in Systems Engineering and Management)
Presents systems-based theory, methodology, and applications in risk modeling, assessment, and management This book examines risk analysis, focusing on quantifying risk and constructing probabilities for real-world decision-making, including engineering, design, technology, institutions, organizations, and policy. The author presents fundamental concepts (hierarchical holographic modeling; state space; decision analysis; multi-objective trade-off analysis) as well as advanced material (extreme e...
Monthly Bill Planner and Organizer (Financial Planner Budget Book, #17)
by Johan Publishers
Encyclopaedia of Commerce and Business Risk Management (Financial Risk Management)
by D. K. Sharma
Contracts and Deals in Islamic Finance (Wiley Finance)
by Hussein Kureshi and Mohsin Hayat
A very accessible and concise guide to Islamic finance Contracts and Deals in Islamic Finance provides a clear breakdown of Islamic financial contracts and deal structures for beginners. The embedded requirements within selected Islamic financial contracts, such as risk weightage, capital structures, creations of cash flows, and balance sheets, are explained fully to provide a solid understanding of the backbone of the industry. Aimed primarily at beginners and those with a background in conven...
Flexibility in Resource Management (Flexible Systems Management)
This book provides a conceptual ‘Flexibility in Resource Management’ framework supported by research/case applications in various related areas. It links and integrates the flexibility aspect with resource management to offer a fresh perspective, since flexibility in different levels of resource management is emerging as a key concern -- a business enterprise needs to have reactive flexibility (as adaptiveness and responsiveness) to cope with the changing and uncertain business environment. It m...
Climate Trading provides a comprehensive overview of the emerging greenhouse gas emissions trading markets. The book covers events in the UN climate negotiations and the development of the international emissions trading system under the Kyoto Protocol. The key focus of the book is the emerging domestic and international emissions trading schemes, project based trading programmes, and the developing greenhouse gas markets. As governments implement regulations to meet domestic and international g...
Sovereign Debt Crisis (Palgrave Macmillan Studies in Banking and Financial Institutions)
by D. Chorafas
Restructuring the balance sheets of Western governments, banks and households is an important issue in the recovery after the recent crisis. Chorafas' latest book focuses on sovereign debt, sovereign risk and the developing economic and financial business climate and explains why the year of the big crisis may fall in the middle of this decade.
Quantitative Portfolio Optimisation, Asset Allocation and Risk Management (Finance and Capital Markets)
by M. Rasmussen
Targeted towards institutional asset managers in general and chief investment officers, portfolio managers and risk managers in particular, this practical book serves as a comprehensive guide to quantitative portfolio optimization, asset allocation and risk management. Providing an accessible yet rigorous approach to investment management, it gradually introduces ever more advanced quantitative tools for these areas. Using extensive examples, this book guides the reader from basic return and ris...