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Risikomanagement Im Finanzsektor


Risikomanagement Im Finanzsektor
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Praxis Des Non Financial Risk Managements Im Finanzsektor


Praxis Des Non Financial Risk Managements Im Finanzsektor
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Author : Thomas Kaiser
language : de
Publisher: Springer Gabler
Release Date : 2023

Praxis Des Non Financial Risk Managements Im Finanzsektor written by Thomas Kaiser and has been published by Springer Gabler this book supported file pdf, txt, epub, kindle and other format this book has been release on 2023 with Business & Economics categories.


Dieses Buch liefert eine fundierte Bestandsaufnahme zur Geschichte des Umgangs mit Non-Financial Risks und leitet daraus nützliche Empfehlungen für das künftige Risikomanagement ab. Im Jahr 1995 hat der Untergang von Barings Bank durch ,,rogue trading" (Nick Leeson) für nachhaltige Aufmerksamkeit gesorgt, 1997 sind erste Studien zu Operational Risk in Banken erschienen (BBA/C&L), 1999 das erste Konsultationspapier zu ,,Basel II", in dem ,,other risks" (aus denen später ,,operational risk" wurde) thematisiert wurden. Somit ist rund ein Vierteljahrhundert verstrichen, seit erste Banken begannen, sich systematisch mit dieser Disziplin (die seit etwa zehn Jahren im breiteren Sinne, unter Einschluss von Reputationsrisiken und Strategischen Risiken zunehmend unter ,,Non-Financial Risk" firmiert) zu beschäftigen. Versicherungen und andere Finanzdienstleister haben zu einem etwas späteren Zeitpunkt begonnen, sich mit diesen Themen intensiv auseinanderzusetzen. Ein Rückblick auf diese Zeitspanne und ein Ausblick auf die Zukunft scheint daher lehrreich zu sein. Der Inhalt Vergangenheit des Non-Financial Risk Management Gegenwart des Non-Financial Risk Management - Rahmenwerk Gegenwart des Non-Financial Risk Management - wichtige Einzelthemen Zukunft des Non-Financial Risk Management Der Autor Professor Dr. Thomas Kaiser beschäftigt sich seit mehr als 25 Jahren mit Risikomanagement-Themen. Er ist Gründer der Professor Kaiser Risk Management Consulting und Honorarprofessor für Risikomanagement an der Goethe-Universität Frankfurt am Main. Professor Kaiser unterrichtet ferner im Executive Education-Bereich der Goethe Business School und weiteren Institutionen, organisiert und leitet Konferenzen und Seminare und ist Sprecher auf zahlreichen nationalen und internationalen Veranstaltungen.



Essentials Of Risk Management In Finance


Essentials Of Risk Management In Finance
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Author : Anthony Tarantino
language : en
Publisher: John Wiley & Sons
Release Date : 2010-12-01

Essentials Of Risk Management In Finance written by Anthony Tarantino and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2010-12-01 with Business & Economics categories.


A concise and and easy to follow introduction to financial risk management This basic survey text offers an accessible introduction to financial risk management, covered in its major components: credit, market, operational, liquidity, legal, and reputational, along with user-friendly processes and tools to conduct your own risk assessments and risk alignments. While there are some mathematical concepts included, these are kept at levels everyone will find easy to grasp. Provides a comprehensive overview of financial risk management, including credit, market, operational, liquidity, legal, and reputational risk areas Discusses the latest trends and next generation techniques emerging in financial risk management Provides risk assessment and risk alignment tools and examples This book offers a good basic understanding of the major areas of risk exposure that all organizations, both public and private, face in operating in today's complex global marketplace. It provides insights into best practices and next generation techniques for readers entering government, not-for-profit, business, and IT positions in which risk management will play an ever expanding role.



The Known The Unknown And The Unknowable In Financial Risk Management


The Known The Unknown And The Unknowable In Financial Risk Management
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Author : Francis X. Diebold
language : en
Publisher: Princeton University Press
Release Date : 2010-04-19

The Known The Unknown And The Unknowable In Financial Risk Management written by Francis X. Diebold and has been published by Princeton University Press this book supported file pdf, txt, epub, kindle and other format this book has been release on 2010-04-19 with Business & Economics categories.


A clear understanding of what we know, don't know, and can't know should guide any reasonable approach to managing financial risk, yet the most widely used measure in finance today--Value at Risk, or VaR--reduces these risks to a single number, creating a false sense of security among risk managers, executives, and regulators. This book introduces a more realistic and holistic framework called KuU --the K nown, the u nknown, and the U nknowable--that enables one to conceptualize the different kinds of financial risks and design effective strategies for managing them. Bringing together contributions by leaders in finance and economics, this book pushes toward robustifying policies, portfolios, contracts, and organizations to a wide variety of KuU risks. Along the way, the strengths and limitations of "quantitative" risk management are revealed. In addition to the editors, the contributors are Ashok Bardhan, Dan Borge, Charles N. Bralver, Riccardo Colacito, Robert H. Edelstein, Robert F. Engle, Charles A. E. Goodhart, Clive W. J. Granger, Paul R. Kleindorfer, Donald L. Kohn, Howard Kunreuther, Andrew Kuritzkes, Robert H. Litzenberger, Benoit B. Mandelbrot, David M. Modest, Alex Muermann, Mark V. Pauly, Til Schuermann, Kenneth E. Scott, Nassim Nicholas Taleb, and Richard J. Zeckhauser. Introduces a new risk-management paradigm Features contributions by leaders in finance and economics Demonstrates how "killer risks" are often more economic than statistical, and crucially linked to incentives Shows how to invest and design policies amid financial uncertainty



Risk Management In The Polish Financial System


Risk Management In The Polish Financial System
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Author : Marian Noga
language : en
Publisher: Springer
Release Date : 2015-10-21

Risk Management In The Polish Financial System written by Marian Noga and has been published by Springer this book supported file pdf, txt, epub, kindle and other format this book has been release on 2015-10-21 with Business & Economics categories.


With globalisation comes an increase in the threat from systemic risk. As national economies become more globally entwined many argue that insufficient attention is being given to systemic risk; a principal contributor to recent economic crises. Focusing on the Polish financial system, this book addresses this critical issue within a global economic context. It advocates that accurate risk management practices and appropriate micro and macroeconomic policies can be created and maintained in order to manage systemic risk at both a national and international level. The book reviews current systemic risk management practices, analysing stability and existing micro- and macroprudential policies, before examining the current risks involved in investing in financial instruments and those associated with investing in stock exchanges. It offers suggestions for the effective implementation of a well-designed public policy, through well managed fiscal and monetary policies, and reflects the roles of households and companies in planning, organizing, and controlling socio-economic activity to control risk. Risk Management in the Polish Financial System aims to redefine the taxonomy of systemic risk, offering practical and regulatory socio-economic processes which can be applied to current risk management practices, as well as provide a risk map for the years to come.



Turbulenzen Im Finanzsystem


Turbulenzen Im Finanzsystem
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Author : J. Reichert
language : de
Publisher: GBI Genios Wirtschaftsdatenbank GmbH
Release Date : 2008-01-21

Turbulenzen Im Finanzsystem written by J. Reichert and has been published by GBI Genios Wirtschaftsdatenbank GmbH this book supported file pdf, txt, epub, kindle and other format this book has been release on 2008-01-21 with Social Science categories.


Banken haben mit den Auswirkungen der US-amerikanischen Immobilienkrise zu kämpfen. Risiken von verbrieften Kreditforderungen waren oftmals nicht transparent und wurden von den Marktteilnehmern unterschätzt. Weltweit wird die Forderung nach einem besseren Risikomanagement der Banken erhoben. Neben internen Prozessen und Modellen ist auch das regulatorische Rahmenwerk für das Risikomanagement einer Überprüfung zu unterziehen.



Risk Management In Financial Institutions


Risk Management In Financial Institutions
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Author : Shahin Shojai
language : en
Publisher:
Release Date : 2013

Risk Management In Financial Institutions written by Shahin Shojai and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2013 with Financial institutions categories.




Risk Management And Financial Institutions


Risk Management And Financial Institutions
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Author : John C. Hull
language : en
Publisher: John Wiley & Sons
Release Date : 2015-03-05

Risk Management And Financial Institutions written by John C. Hull and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2015-03-05 with Business & Economics categories.


The most complete, up to date guide to risk management in finance Risk Management and Financial Institutions explains all aspects of financial risk and financial institution regulation, helping readers better understand the financial markets and potential dangers. This new fourth edition has been updated to reflect the major developments in the industry, including the finalization of Basel III, the fundamental review of the trading book, SEFs, CCPs, and the new rules affecting derivatives markets. There are new chapters on enterprise risk management and scenario analysis. Readers learn the different types of risk, how and where they appear in different types of institutions, and how the regulatory structure of each institution affects risk management practices. Comprehensive ancillary materials include software, practice questions, and all necessary teaching supplements, facilitating more complete understanding and providing an ultimate learning resource. All financial professionals need a thorough background in risk and the interlacing connections between financial institutions to better understand the market, defend against systemic dangers, and perform their jobs. This book provides a complete picture of the risk management industry and practice, with the most up to date information. Understand how risk affects different types of financial institutions Learn the different types of risk and how they are managed Study the most current regulatory issues that deal with risk Risk management is paramount with the dangers inherent in the financial system, and a deep understanding is essential for anyone working in the finance industry; today, risk management is part of everyone's job. For complete information and comprehensive coverage of the latest industry issues and practices, Risk Management and Financial Institutions is an informative, authoritative guide.



Risk Management In Financial Institutions


Risk Management In Financial Institutions
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Author : Shahin Shojai
language : en
Publisher:
Release Date : 2013

Risk Management In Financial Institutions written by Shahin Shojai and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2013 with Financial institutions categories.




Managing Risk In The Financial System


Managing Risk In The Financial System
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Author : John Raymond LaBrosse
language : en
Publisher: Edward Elgar Publishing
Release Date : 2011-01-01

Managing Risk In The Financial System written by John Raymond LaBrosse and has been published by Edward Elgar Publishing this book supported file pdf, txt, epub, kindle and other format this book has been release on 2011-01-01 with Business & Economics categories.


Incisive, authoritative and thoughtful, this important and timely collection of papers exploring the unresolved issues left by the recent global financial turmoil, will undoubtedly shape the policy responses to come. Interdisciplinary in approach and wide-ranging in jurisdictional scope, it draws together influential commentators, practitioners and regulators, to create a new milestone in the search for the fundamentals of a more stable global financial system.? - Eva Lomnicka, King?s College London, UK ?This book contains a large number of chapters, nearly 30 in all, by acknowledged experts on various aspects of the recent financial crisis. Whichever aspect of this crisis that may interest you, such as bank taxes, deposit insurance, TBTF and how to respond, cross-border issues, and many, many others, you will find chapters that are both authoritative and stimulating in this collection. The editors are to be congratulated not only in their selection of authors but also in the speed with which they have taken them from conference presentation to book chapter.? - Charles Goodhart, London School of Economics, UK Managing Risk in the Financial System makes important and timely contributions to our knowledge and understanding of banking law, financial institution restructuring and related considerations, through the production of an innovative, international and interdisciplinary set of contributions which link law and policy issues surrounding systemic risk and crisis management. The recent financial crisis has exposed both the banking industry and financial system safety net players in many countries to a considerable level of distress as well as economic and reputational damage. These circumstances have heightened the need for policymakers to consider remedial measures under a broad umbrella that encompass inter alia prompt corrective actions, early closure of distressed entities, deposit insurance, bail-outs, state-aid, bank resolution and restructuring techniques. These essays provide an important contribution to research in this area, at a crucial time in the debate around the future financial industry. Contributors



Risk Management And Financial Institutions


Risk Management And Financial Institutions
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Author : John C. Hull
language : en
Publisher: John Wiley & Sons
Release Date : 2012-04-11

Risk Management And Financial Institutions written by John C. Hull and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2012-04-11 with Business & Economics categories.


The essential guide to managing financial institution risk, fully revised and updated The dangers inherent in the financial system make understanding risk management essential for anyone working in, or planning to work in, the financial sector. A practical resource for financial professionals and students alike, Risk Management and Financial Institutions, Third Edition explains all aspects of financial risk as well as the way financial institutions are regulated, to help readers better understand financial markets and potential dangers. Fully revised and updated, this new edition features coverage of Basel 2.5, Basel III and Dodd-Frank as well as expanded sections on counterparty credit risk, central clearing, and collateralization. In addition, end-of-chapter practice problems and a website featuring supplemental materials designed to provide a more comprehensive learning experience make this the ultimate learning resource. Written by acclaimed risk management expert, John Hull, Risk Management and Financial Institutions is the only book you need to understand—and respond to—financial risk. The new edition of the financial risk management bestseller Describes the activities of different types of financial institutions, explains how they are regulated, and covers market risk, credit risk, operational risk, liquidity risk, and model risk Features new coverage of Basel III, Dodd-Frank, counterparty credit risk, central clearing, collateralization, and much more Provides readers with access to a supplementary website offering software and unique learning aids Author John Hull is one of the most respected authorities on financial risk management A timely update to the definitive resource on risk in the financial system, Risk Management and Financial Institutions + Web Site, Third Edition is an indispensable resource from internationally renowned expert John Hull.