Mastering Risk Volume 1: Concepts - Pickford, James

Mastering Risk Volume 1: Concepts

James Pickford

Yayınevi: Pearson Education

Yayın tarihi: 02/2000

ISBN: 9780273653790

İngilizce | 336 Sayfa |

Tür: Finans-Muhasebe

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Developed from the successful series run in theFinancial Times newspaper, Mastering Risk Volume 1 brings you the latest thinking from some of the world's leading authorities and examines the concept of risk control as it threads its way through every aspect of business and finance management. It explains the techniques used to identify and measure risk, the methods of managing financial and non-financial risk, and investigates emerging areas of risk such as e-commerce and reputation management

With an impressive cast of contributors such as Rory Knight (dean emeritus of Templeton), Philippe Jorion, Nigel Turnbull and Peter Bernstein (author of Against the Odds), Mastering Risk Volume 1 will provide you with the very latest ideas on how to master the art of risk management. - risk measurement
- risk strategy
- financial risk
- operational risk
- regulation and political risk
- insurance and systemic risk
- emerging issues in risk
- extreme events
- risk management.
Readers will not need advanced mathematical skills or financial expertise to understand the concepts presented, and the book touches on a wide range of disciplines, such as psychology, investment, law, statistics, and marketing. The practical relevance of the concepts is highlighted throughout with recent examples and short case studies.
Mastering Risk Volume 1 traces the development of concepts and introduces the latest ideas from US and European perspectives.
Features
The book provides the very latest ideas on how to master the art of risk management.
Provides a comprehensive overview of the important concepts of risk management. Readers will not need advanced mathematical skills or financial expertise to understand the concepts presented, and the book touches on a wide range of disciplines, such as psychology, investment, law, statistics, and marketing. Traces the development of concepts and introduces the latest ideas from US and European perspectives.
Contents
Introduction
1. The nature of risk
2. Risk measurement
3. Risk Strategy
4. Financial risk
5. Operational risk
6. Regulation risk
7. Insurance and systemic risk
8. Emerging issues in risk
9. Environmental risk and extreme events
10. Risk 21C
Subject index
Organization index
Name index

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