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Practical Risk Management: An Executive Guide to Avoiding Surprises and Losses (The Wiley Finance Series) - Banks, Erik, Dunn, Richard
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Banks, Erik, Dunn, Richard:

Practical Risk Management: An Executive Guide to Avoiding Surprises and Losses (The Wiley Finance Series) - Prima edizione

2003, ISBN: 9780470849675

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Wiley, Hardcover, Auflage: 1, 176 Seiten, Publiziert: 2003-07-04T00:00:01Z, Produktgruppe: Book, 0.47 kg, Verkaufsrang: 2962076, Books Global Store, Special Features, Books, Budgeting & F… Altro …

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Banks, Erik; Dunn, Richard:

Practical Risk Management: An Executive Guide to Avoiding Surprises and Losses (The Wiley Finance Series) - Prima edizione

2003, ISBN: 9780470849675

edizione con copertina rigida

Wiley. Clean and unmarked. . Very Good. Hardcover. 1st Edition. 2003., Wiley, 2003, 3

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Dunn, Richard:
Practical Risk Management: An Executive Guide to Avoiding Surprises and Losses (The Wiley Finance Series) - copertina rigida, flessible

ISBN: 9780470849675

Hardback. Very Good., 3

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Richard Dunn Erik Banks:
Practical Risk Management - copertina rigida, flessible

2003, ISBN: 9780470849675

HARDBACK, Nouveau livre, P viii + 164., [PU: John Wiley & Sons]

Costi di spedizione:Costi di spedizione aggiuntivi Hawthorne, CA, Media Smart
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Erik Banks; Richard Dunn:
Practical Risk Management - copertina rigida, flessible

2003, ISBN: 9780470849675

Wiley, 2003-08-19. Hardcover. Good., Wiley, 2003-08-19, 2.5

Costi di spedizione: EUR 19.05 Ergodebooks

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Dettagli del libro
Practical Risk Management: An Executive Guide to Avoiding Surprises and Losses (The Wiley Finance Series)

A proven way to manage risk in today's business world Understanding how the risk process works is a critical concept that business professionals must come to learn. For those who must understand the fundamentals of risk management quickly, without getting caught up in jargon, theory, mathematics, and formulas, Practical Risk Management is the perfect read. Written in a clear, fast-paced and easily digestible style, this book explains the practical challenges associated with risk management and how-by focusing on accountability, governance, risk appetite, liquidity, client risks, automated and manual processes, tools and diagnostics-they can be overcome. After finishing this book, readers will have a solid understanding of the risk process, know which issues/questions are of critical importance, and be able to determine how their specific risk problems can be minimized or avoided. Erik Banks (Redding, CT) is currently Chief Risk Officer for Element Re. Prior to that he spent several years at Merrill Lynch in market/credit risk management roles in London, Tokyo, Hong Kong, and the United States. He is also adjunct Professor of Finance at the University of Connecticut, where he teaches MBA students. Richard Dunn (London, UK) works for Merrill Lynch. He single-handedly restructured Merrill Lynch's risk function post in 1998 into its current form.

Informazioni dettagliate del libro - Practical Risk Management: An Executive Guide to Avoiding Surprises and Losses (The Wiley Finance Series)


EAN (ISBN-13): 9780470849675
ISBN (ISBN-10): 0470849673
Copertina rigida
Anno di pubblicazione: 2003
Editore: Wiley
176 Pagine
Peso: 0,454 kg
Lingua: eng/Englisch

Libro nella banca dati dal 2007-12-09T11:09:28+01:00 (Zurich)
Pagina di dettaglio ultima modifica in 2023-12-26T14:10:29+01:00 (Zurich)
ISBN/EAN: 0470849673

ISBN - Stili di scrittura alternativi:
0-470-84967-3, 978-0-470-84967-5
Stili di scrittura alternativi e concetti di ricerca simili:
Autore del libro : richard dunn, richard john
Titolo del libro: surprises, risk management, practical vim


Dati dell'editore

Autore: Erik Banks; Richard Dunn
Titolo: Wiley Finance Series; Practical Risk Management - An Executive Guide to Avoiding Surprises and Losses
Editore: John Wiley & Sons
176 Pagine
Anno di pubblicazione: 2003-07-04
Peso: 0,494 kg
Lingua: Inglese
119,00 € (DE)
No longer receiving updates
175mm x 253mm x 16mm

BB; gebunden; Hardcover, Softcover / Wirtschaft/Betriebswirtschaft; Anlagen und Wertpapiere; Finance & Investments; Risikomanagement; Kapitalanlage; Investments & Securities; Kapitalanlagen u. Wertpapiere; Finanz- u. Anlagewesen; Kapitalanlagen u. Wertpapiere

Acknowledgments. Biographies. Introduction: Financial Risks and Avalanches. PART I: DEFINING AND MEASURING RISKS. 1. Losses: One-Hundred-Year Floods that Happen Every Three Years. 2. The Basics: A Common Understanding of the Risks. 3. Liquidity: The Heart of the Matter. 4. Suitability: Coping with Customers. 5. Process Risks: The Next Frontier. 6. Measurement: Quantifying the Risks. PART II: DEVELOPING A HOLISTIC APPROACH TO RISK MANAGEMENT. 7. The Risk Management Process: Building the Foundation. 8. The Financial Risk Mandate: Developing a Philosophy and Loss Tolerance. 9. Risk Principles: Creating a Code of Conduct. 10. Financial Governance: Assigning Accountability for Risk. 11. The Risk Framework: Limiting and Controlling Risks. 12. Automated Management: Automating Discipline on the Front Lines. 13. Manual Management: Enhancing the Automated Discipline. 14. Nuts and Bolts: Supporting the Process with Essential Tools. 15. Ongoing Diagnostics and Transparency: Knowing if the Risk Process is Working. Conclusion: Can there be Heroes? Glossary. References. Index.

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