[PDF] Konzeption Eines Risikomanagementsystems F R Die Assetklasse Immobilien Im Portfolio Eines Versicherungsunternehmens - eBooks Review

Konzeption Eines Risikomanagementsystems F R Die Assetklasse Immobilien Im Portfolio Eines Versicherungsunternehmens


Konzeption Eines Risikomanagementsystems F R Die Assetklasse Immobilien Im Portfolio Eines Versicherungsunternehmens
DOWNLOAD

Download Konzeption Eines Risikomanagementsystems F R Die Assetklasse Immobilien Im Portfolio Eines Versicherungsunternehmens PDF/ePub or read online books in Mobi eBooks. Click Download or Read Online button to get Konzeption Eines Risikomanagementsystems F R Die Assetklasse Immobilien Im Portfolio Eines Versicherungsunternehmens book now. This website allows unlimited access to, at the time of writing, more than 1.5 million titles, including hundreds of thousands of titles in various foreign languages. If the content not found or just blank you must refresh this page



Konzeption Eines Risikomanagementsystems F R Die Assetklasse Immobilien Im Portfolio Eines Versicherungsunternehmens


Konzeption Eines Risikomanagementsystems F R Die Assetklasse Immobilien Im Portfolio Eines Versicherungsunternehmens
DOWNLOAD
Author : Claudia Wetzel
language : de
Publisher: BoD – Books on Demand
Release Date : 2010

Konzeption Eines Risikomanagementsystems F R Die Assetklasse Immobilien Im Portfolio Eines Versicherungsunternehmens written by Claudia Wetzel and has been published by BoD – Books on Demand this book supported file pdf, txt, epub, kindle and other format this book has been release on 2010 with Business & Economics categories.


Die jüngste Finanz- und Immobilienkrise hat offengelegt, dass in vielen Unternehmen verschiedenster Branchen keine oder nur mangelhafte Risikomanagementsysteme vorhanden sind, die nicht den Anforderungen an eine frühzeitige Erkennung und Steuerung von Risiken gerecht werden. Die reaktive Handhabung beim Auftreten von Immobilienrisiken wurde in der Vergangenheit vielfach aufgrund von Kosten- und Zeitgründen einem aktiven, zukunftsorientierten Risikomanagement unter Zuhilfenahme phasenspezifischer Instrumente vorgezogen. Die zunehmende Zahl an Insolvenzen sowie hohe Wertberichtigungen der Immobilienbestände veranlassen nun insbesondere international agierende Immobilienunternehmen das Management von Risiken der Immobilienportfolien zu überdenken. Das vorliegende Buch thematisiert die Notwendigkeit eines aktiven Managements von Immobilienrisiken. Inhalt ist die Entwicklung eines Risikomanagementsystems für direkte und indirekte Immobilienanlagen. Dieses beinhaltet die Phasen der Identifikation, Bewertung sowie Steuerung und erörtert aufbau- sowie ablauforganisatorische Fragestellungen. Die wissenschaftliche Abhandlung bezieht sich im Speziellen auf Versicherungsunternehmen als Vertreter der institutionellen Immobilieninvestoren. Im Ergebnis der Dissertationsschrift entsteht ein Analyse- und Bewertungsmodell, welches den Value at Risk als zentrale Zielgröße definiert. Um die Höhe des maximalen Verlustes des Immobilienportfolios festzustellen, werden Risikotreiber und deren Indikatoren aufgezeigt und Ursache-Wirkungszusammenhänge durch Simulation der Risikotreiber abgebildet.



Reliability Based Mechanical Design


Reliability Based Mechanical Design
DOWNLOAD
Author : Thomas A. Cruse
language : en
Publisher: CRC Press
Release Date : 1997-01-24

Reliability Based Mechanical Design written by Thomas A. Cruse and has been published by CRC Press this book supported file pdf, txt, epub, kindle and other format this book has been release on 1997-01-24 with Technology & Engineering categories.


Discussing the modern tools that support designs based on product reliability, this text focuses on the classical techniques of reliability analysis as well as response surface modelling and physics-based reliability prediction methods. It makes use of the available personal computer tools that permit a host of application examples, and contains an IBM-compatible disk that illustrates immediately applicable software that facilitates reliability modelling in mechanical design.



The Year 2000


The Year 2000
DOWNLOAD
Author : Herman Kahn
language : en
Publisher:
Release Date : 1967

The Year 2000 written by Herman Kahn and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 1967 with Twentieth century categories.




Real Estate Due Diligence


Real Estate Due Diligence
DOWNLOAD
Author : Tobias Just
language : en
Publisher: Springer
Release Date : 2018-01-11

Real Estate Due Diligence written by Tobias Just and has been published by Springer this book supported file pdf, txt, epub, kindle and other format this book has been release on 2018-01-11 with Business & Economics categories.


Due diligence is the bedrock of real estate deals, regardless of the volume of transaction. This book presents a comprehensive guide to understanding and implementing due diligence and making an accurate assessment of the risks. While this process has become a “no-brainer” for investment professionals, the market standard on this essential topic has not yet been laid out in a comprehensive form that covers all the major aspects of real estate due diligence: legal, tax, financial and technical issues. This book fulfils that need, and gives it a form that can be used for German, European, or even international transactions. Written in a reader-friendly fashion, the easily navigable chapters are organized into the four due diligence dimensions, with ample examples and key takeaways. Be they real estate investors, or a management students specializing in the asset class, this book is a core resource for anyone wanting to get to grips with due diligence.



Sustainability Rating Agencies Vs Credit Rating Agencies


Sustainability Rating Agencies Vs Credit Rating Agencies
DOWNLOAD
Author : Daniel Cash
language : en
Publisher: Springer Nature
Release Date : 2021-04-16

Sustainability Rating Agencies Vs Credit Rating Agencies written by Daniel Cash and has been published by Springer Nature this book supported file pdf, txt, epub, kindle and other format this book has been release on 2021-04-16 with Business & Economics categories.


This book details the difference between the two rating industries, but this difference is converging all the time. The concept of investing in a more responsible and sustainable manner is drawing in some of the world’s leading investors and, with it, regulations and policies are developing at the highest levels. However, the market is not getting what it needs to fully submit to the concept of responsible investing. It has called for more to be done from those tasked with injecting information into their processes, and two industries in particular have been identified as being natural partners. It has been suggested that they are on a collision course to serve the mainstream investor, and in this book, that collision course is contextualised, explained, presented, and finally its outcome predicted.



European Real Estate


European Real Estate
DOWNLOAD
Author : Dilek Pekdemir
language : en
Publisher: Springer
Release Date : 2015-09-07

European Real Estate written by Dilek Pekdemir and has been published by Springer this book supported file pdf, txt, epub, kindle and other format this book has been release on 2015-09-07 with Business & Economics categories.


This book provides a thorough overview of the European real estate Market. It evaluates the performance difference between countries and sectors, and what implications this has for optimal investment strategy within real estate asset classes.



Essentials Of Finance


Essentials Of Finance
DOWNLOAD
Author : Ray G. Jones
language : en
Publisher: Prentice Hall
Release Date : 1978

Essentials Of Finance written by Ray G. Jones and has been published by Prentice Hall this book supported file pdf, txt, epub, kindle and other format this book has been release on 1978 with Business & Economics categories.




Scenario Techniques


Scenario Techniques
DOWNLOAD
Author : Ute Von Reibnitz
language : en
Publisher: McGraw-Hill Companies
Release Date : 1989-01-01

Scenario Techniques written by Ute Von Reibnitz and has been published by McGraw-Hill Companies this book supported file pdf, txt, epub, kindle and other format this book has been release on 1989-01-01 with Forecasting categories.




Bisociative Knowledge Discovery


Bisociative Knowledge Discovery
DOWNLOAD
Author : Michael R. Berthold
language : en
Publisher: Springer
Release Date : 2012-06-27

Bisociative Knowledge Discovery written by Michael R. Berthold and has been published by Springer this book supported file pdf, txt, epub, kindle and other format this book has been release on 2012-06-27 with Computers categories.


Modern knowledge discovery methods enable users to discover complex patterns of various types in large information repositories. However, the underlying assumption has always been that the data to which the methods are applied to originates from one domain. The focus of this book, and the BISON project from which the contributions are originating, is a network based integration of various types of data repositories and the development of new ways to analyse and explore the resulting gigantic information networks. Instead of finding well defined global or local patterns they wanted to find domain bridging associations which are, by definition, not well defined since they will be especially interesting if they are sparse and have not been encountered before. The 32 contributions presented in this state-of-the-art volume together with a detailed introduction to the book are organized in topical sections on bisociation; representation and network creation; network analysis; exploration; and applications and evaluation.



Elements Of Financial Risk Management


Elements Of Financial Risk Management
DOWNLOAD
Author : Peter Christoffersen
language : en
Publisher: Academic Press
Release Date : 2019-04-15

Elements Of Financial Risk Management written by Peter Christoffersen and has been published by Academic Press this book supported file pdf, txt, epub, kindle and other format this book has been release on 2019-04-15 with Business & Economics categories.


Elements of Financial Risk Management: A Buyside Perspective Using Excel and MATLAB, Third Edition focuses on the implementation of techniques that help students and practitioners bridge the gap between standard textbooks on risk and real-life risk management systems. Without a highly sophisticated quant background, readers can understand its detailed and comprehensive coverage of most market-risk related topics. More a financial econometrics book than a financial risk management book, it shows how to apply tools developed in financial econometrics to risk management. It differs from typical risk management books by digging more deeply in the assumptions and models behind risk calculations. Covers both new research streams (e.g., asymmetrical t distributions) and new areas of interest for practitioners, such as external stress testing Includes 4 new chapters, updates every existing chapter, and expands its pedagogical elements to include MATLAB exercises Enables students and practitioners to grasp most concepts and techniques with limited knowledge of basic statistics and financial mathematics