Liquidity Risk (Global Financial Markets) (Finance and Capital Markets)
by E Banks
Liquidity Management is now a core consideration for banks and other financial institutions following the collapse of numerous well-known banks in 2007-8. This timely new edition will provide practical guidance on liquidity risk and its management – now mandatory under new regulation.
Manage and mitigate the human side of risk In Humanizing Rules: Bringing Behavioural Science to Ethics and Compliance, veteran risk adviser and trainer Christian Hunt delivers an incisive and practical discussion of how to mitigate the risk of people doing things they shouldn't or failing to do things they should. In the book, you'll explore effective strategies for achieving compliance that work with – rather than against – the grain of natural human thinking and behaviour. The authors challeng...
The business guide to Big Data in insurance, with practical application insight Big Data and Analytics for Insurers is the industry-specific guide to creating operational effectiveness, managing risk, improving financials, and retaining customers. Written from a non-IT perspective, this book focusses less on the architecture and technical details, instead providing practical guidance on translating analytics into target delivery. The discussion examines implementation, interpretation, and applic...
RISK MANAGEMENT AND FINANCIAL INSTITUTIONS THE GOLD STANDARD IN FINANCIAL RISK MANAGEMENT TEXTBOOKS In the newly revised sixth edition of Risk Management and Financial Institutions, celebrated risk and derivatives expert John C. Hull delivers an incisive and comprehensive discussion of financial risk and financial institution regulation. In the book, you’ll learn to understand the financial markets, the risks they pose to various kinds of financial institutions, and how those risks are affected...
This book provides a quantitative overview of corporate risk management for both financial and non-financial organisations. It systematically explores a range of important risks, including interest rate risk, equity risk, commodity price risk, credit risk management, counterparty risk, operational risk, liquidity risk, market risk, derivative credit risk and country risk. Chapters also provide comprehensive and accessible analysis of risk-related phenomena and the corporate strategies empl...
Value Added Auditing (Cerm Academy Enterprise Risk Management)
by Greg Hutchins
Dieses Buch zeigt zum einen die aktuellen wissenschaftlichen Entwicklungen der „Risk Science“ auf und überträgt sie auf Finanzinstitute. Zum anderen wird aus einer pragmatischen Sicht die Auswirkung der aktuellen Digitalisierung auf mögliche Risiken betrachtet, wobei auch die externe Wahrnehmung der Gesellschaft auf Entwicklungen in Banken und speziell zu Themen wie der Anwendung der Künstlichen Intelligenz einbezogen wird. Damit schlägt dieses Buch eine Brücke zwischen Wissenschaft, öffentliche...
Why do successful people get “stuck?” Has your business or income hit a plateau? After 30 years of solving complicated financial problems for millionaire entrepreneurs and billionaire families, Chris Jarvis discovered patterns for increased success—and for happiness. 6 Secrets shares the critical insights Jarvis observed in the successful operations of thousands of businesses, professional practices, and family offices. “I love Chris’ brilliant intellect, wonderful sense of humor, and no-B...
A Practical Guide for Startup Valuation (Contributions to Finance and Accounting)
This book sheds new light on the most important contemporary and emerging startup valuation topics. Drawing on the first-hand professional experience of practitioners, professionals, and startup experts from various fields of finance, combined with a sound academic foundation, it offers a practical guide to startup valuation and presents applications, practical examples, and case studies of real startup ecosystems. The book discusses pressing questions, such as: Why are startups in California a...
Guide to Risks & Uncertainties
by D R Carmichael, Stephen D Holton, and L Scott Spradling
Risikoaggregation und Monte-Carlo-Simulation (Essentials)
by Werner Gleiner and Marco Wolfrum
Dieser Band stellt praxisorientiert die Monte-Carlo-Simulation (Risikosimulation) vor, die es ermöglicht, den Gesamtrisikoumfang eines Unternehmens oder Projektes zu berechnen (Risikoaggregation) und mögliche „bestandsgefährdende Entwicklungen“ aus Kombinationseffekten von Einzelrisiken zu erkennen (Kernanforderung an ein Risikomanagement nach §91 Abs. 2 AktG). Ausgehend von einer Einführung zu Risikoanalyse und Risikoquantifizierung wird gezeigt, wie durch die Verbindung von Unternehmensplanung...
Uncertainty affects us in our everyday lives, and in a wide range of situations but how do individuals and indeed organisations respond to uncertainty and how does it impact their decision-making and actions? Based on the latest developments in academic research, the author offers solid advice on how to manage uncertainty in every-day life, bringing a new perspective to these issues and extrapolating this to offer implications for an organisational and managerial context. The author brings this...
Business Continuity and Risk Management
by Kurt J Engemann and Douglas M Henderson
Data Protection in a Post-Pandemic Society
This book offers the latest research results and predictions in data protection with a special focus on post-pandemic society. This book also includes various case studies and applications on data protection. It includes the Internet of Things (IoT), smart cities, federated learning, Metaverse, cryptography and cybersecurity. Data protection has burst onto the computer security scene due to the increased interest in securing personal data. Data protection is a key aspect of information securit...
Financial Risk Management and Climate Change Risk (Contributions to Finance and Accounting)
Financial risk management for institutional investors has recently grown in scope to include long-term sustainability considerations and climate change risk concerns. This book shows how a national central bank in the Eurosystem has adapted its financial risk management principles and practices against the background of non-conventional monetary policy measures and following the introduction of sustainability criteria, with a special role for carbon-neutrality. The topics covered include a marke...
Risk Management in Life Critical Systems (Iste)
by Patrick Millot and Guy Boy
Risk management deals with prevention, decision-making, action taking, crisis management and recovery, taking into account the consequences of unexpected events. The authors of this book are interested in ecological processes, human behavior, as well as the control and management of life-critical systems, which are potentially highly automated. Three main attributes define life-critical systems, i.e. safety, efficiency and comfort. They typically lead to complex and time-critical issues and can...