Risk Management Post Financial Crisis


Risk Management Post Financial Crisis
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Risk Management Post Financial Crisis


Risk Management Post Financial Crisis
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Author : Jonathan A. Batten
language : en
Publisher: Emerald Group Publishing
Release Date : 2014-10-03

Risk Management Post Financial Crisis written by Jonathan A. Batten and has been published by Emerald Group Publishing this book supported file pdf, txt, epub, kindle and other format this book has been release on 2014-10-03 with Business & Economics categories.


Risk Management Post Financial Crisis: A Period of Monetary Easing provides further insights into postcrisis developments in the global economic and financial environment including advances in measuring and reporting risk and liquidity. Contributions come from leading banks, international organisations and worldrenowned universities.



Crisis Wasted


Crisis Wasted
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Author : Frances Cowell
language : en
Publisher: John Wiley & Sons
Release Date : 2015-12-14

Crisis Wasted written by Frances Cowell 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 2015-12-14 with Business & Economics categories.


Effective risk management in today’s ever-changing world Crisis Wasted? Leading Risk Managers on Risk Culture sheds light on today’s risk management landscape through a unique collection of interviews from risk leaders in both the banking and investment industries. These interviews zero in on the risk culture of organisations, effective risk management in practice, and the sometimes paradoxical effects of new regulations and how they affect decision-making in financial organisations They offer genuine insight into regulatory processes and priorities and their implications for the stability of the global financial system. As trending topics in the risk management field, each of these subject areas is relevant to the work of today’s risk management professionals. In addition to the forward-focused text, this reference provides access to a wealth of premium online content. Risk management has become an area of focus for companies since the financial crises that shook the international community over the past decade, but, despite high levels of introspection and changes to key processes, many financial houses are still experiencing large losses. Understanding today’s risk environment can help you improve risk management tactics. Access essential information both in print and online Discover the most important topics in today’s risk management field Explore interviews with 1 risk management leaders Learn about ground-breaking recent innovations in risk management thinking Crisis Wasted? Leading Risk Managers on Risk Culture is an integral resource for professionals responsible for minimising organisational risk, as well as those who want to better understand the risk culture of today’s world.



Managing And Measuring Of Risk


Managing And Measuring Of Risk
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Author : Oliviero Roggi
language : en
Publisher: World Scientific
Release Date : 2013

Managing And Measuring Of Risk written by Oliviero Roggi and has been published by World Scientific this book supported file pdf, txt, epub, kindle and other format this book has been release on 2013 with Business & Economics categories.


This volume presents the most recent achievements in risk measurement and management, as well as regulation of the financial industry, with contributions from prominent scholars and practitioners, and provides a comprehensive overview of recent emerging standards in risk management from an interdisciplinary perspective.



Post Crisis Risk Management


Post Crisis Risk Management
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Author : Tsuyoshi Ōyama
language : en
Publisher: John Wiley & Sons
Release Date : 2014-05-14

Post Crisis Risk Management written by Tsuyoshi Ōyama 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 2014-05-14 with BUSINESS & ECONOMICS categories.


Tsuyoshi Oyama, an experienced risk management professional, has produced a valuable and insightful examination of the causes of the global financial crisis, the initial public sector responses to the crisis, and his recommendations on how best to bolster international financial soundness. A Japanese perspective on these matters may be of particular relevance, given the country's and Mr. Oyama's extensive experience with financial stability issues since 1989. "Post-Crisis Risk Management" is a useful addition to the rapidly growing literature on how we might avoid repeating the global financial crisis in our lifetimes. Charles Littrell "Executive General Manager Australian Prudential Regulation Authority" "Post-Crisis Risk Management" provides a unique opportunity for readers to get some idea of an insider's perspective to the global financial crisis and most importantly to the regulatory aspects relating to the crisis such as Basel II. Mr. Oyama is headstrong and has the burning desire to share with us his own view of the global regulatory framework and more. In this book, he argues his case to avoid a recurrence of such crisis in the future. Luo Ping "Director General, Training Department China Banking Regulatory Commission" With his extensive experience as a regulator and risk manager, Tsuyoshi Oyama provides an instructive insight into the development of the current crisis and workings of the regulatory world, and offering suggestions on how best to address the challenges of future financial and economic issues. Mr. Oyama puts the art and science of risk management in the proper perspective to make this book an interesting read for both the regulator and regulated. A timely work no less. Tham Ming Soong "Executive Vice President, Head, Risk Management, United Overseas Bank Limited" "Post-Crisis Risk Management" takes a different view from the earlier analyses of the global financial crisis and submits proposals which may create a more stabilized world financial system. A must-read book. Krirk Vanikkul "Assistant Governor Bank of Thailand" What is the degree of stress to be endured by individual financial institutions? This is a question that many financial institutions actually had during the crisis but have gained no answer yet. This book proposes a unique answer to this question, that is, "the agreement of sharing stresses is to be absorbed between financial institutions and the authorities." This agreement could effectively motivate senior managers of financial institutions to be deeply involved in the risk management, which is often seen as an art. This book also sounds a warning from a long-term point of view, of the dangerous consequence of the current stop-gap measures initiated mainly by politicians with regulation enhancement. Shinichiro Nakano "General Manager, Risk Management Division The Norinchukin Bank"



Liquidity Risk Management


Liquidity Risk Management
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Author : Shyam Venkat
language : en
Publisher: John Wiley & Sons
Release Date : 2016-03-03

Liquidity Risk Management written by Shyam Venkat 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 2016-03-03 with Business & Economics categories.


The most up-to-date, comprehensive guide on liquidity risk management—from the professionals Written by a team of industry leaders from the Price Waterhouse Coopers Financial Services Regulatory Practice, Liquidity Risk Management is the first book of its kind to pull back the curtain on a global approach to liquidity risk management in the post-financial crisis. Now, as a number of regulatory initiatives emerge, this timely and informative book explores the real-world implications of risk management practices in today's market. Taking a clear and focused approach to the operational and financial obligations of liquidity risk management, the book builds upon a foundational knowledge of banking and capital markets and explores in-depth the key aspects of the subject, including governance, regulatory developments, analytical frameworks, reporting, strategic implications, and more. The book also addresses management practices that are particularly insightful to liquidity risk management practitioners and managers in numerous areas of banking organizations. Each chapter is authored by a Price Waterhouse Coopers partner or director who has significant, hands-on expertise Content addresses key areas of the subject, such as liquidity stress testing and information reporting Several chapters are devoted to Basel III and its implications for bank liquidity risk management and business strategy Includes a dedicated, current, and all-inclusive look at liquidity risk management Complemented with hands-on insight from the field's leading authorities on the subject, Liquidity Risk Management is essential reading for practitioners and managers within banking organizations looking for the most current information on liquidity risk management.



Post Crisis Risk Management


Post Crisis Risk Management
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Author : Tsuyoshi Oyama
language : en
Publisher: John Wiley & Sons
Release Date : 2010

Post Crisis Risk Management written by Tsuyoshi Oyama 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 with Business & Economics categories.


Although many regulator and industrial reports on the lessons learned from the recent market turmoil have appeared recently, they still tend to be plagued by the silo-approach, discussing only specific issues independent of other important issues. Besides, they tend to be silent on the regulators' function to be addressed after the turmoil. This book covers all the issues which have been highlighted by the recent financial turmoil in a comprehensive and integrated way, and also steps into the area of how supervisors as well as banks appropriately share the responsibilities of absorbing additional stresses under the financial shock.



A Risk Professionals Survival Guide


A Risk Professionals Survival Guide
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Author : Clifford Rossi
language : en
Publisher: John Wiley & Sons
Release Date : 2014-10-20

A Risk Professionals Survival Guide written by Clifford Rossi 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 2014-10-20 with Business & Economics categories.


Balanced, practical risk management for post – financial crisis institutions A Risk Professional's Survival Guide fills a critical gap left by existing risk management texts. Instead of focusing only on quantitative risk analysis or only on institutional risk management, this book takes a comprehensive approach. The disasters of the recent financial crisis taught us that managing risk is both an art and a science, and it is critical for practitioners to understand how individual risks are integrated at the enterprise level. This book is the only resource of its kind to introduce all of the key risk management concepts in a cohesive case study spanning each chapter. A hypothetical bank drawn from elements of several real world institutions serves as a backdrop for topics from credit risk and operational risk to understanding big-picture risk exposure. You will be able to see exactly how each rigorous concept is applied in actual risk management contexts. This book includes: Supplemental Excel-based Visual Basic (VBA) modules, so you can interact directly with risk models Clear explanations of the importance of risk management in preventing financial disasters Real world examples and lessons learned from past crises Risk policies, infrastructure, and activities that balance limited quantitative models This book provides the element of hands-on application necessary to put enterprise risk management into effective practice. The very best risk managers rely on a balanced approach that leverages every aspect of financial operations for an integrative risk management strategy. With this book, you can identify and control risk at an expert level.



Advanced Financial Risk Management


Advanced Financial Risk Management
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Author : Donald R. Van Deventer
language : en
Publisher: John Wiley & Sons
Release Date : 2013-02-06

Advanced Financial Risk Management written by Donald R. Van Deventer 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 2013-02-06 with Business & Economics categories.


Practical tools and advice for managing financial risk, updated for a post-crisis world Advanced Financial Risk Management bridges the gap between the idealized assumptions used for risk valuation and the realities that must be reflected in management actions. It explains, in detailed yet easy-to-understand terms, the analytics of these issues from A to Z, and lays out a comprehensive strategy for risk management measurement, objectives, and hedging techniques that apply to all types of institutions. Written by experienced risk managers, the book covers everything from the basics of present value, forward rates, and interest rate compounding to the wide variety of alternative term structure models. Revised and updated with lessons from the 2007-2010 financial crisis, Advanced Financial Risk Management outlines a framework for fully integrated risk management. Credit risk, market risk, asset and liability management, and performance measurement have historically been thought of as separate disciplines, but recent developments in financial theory and computer science now allow these views of risk to be analyzed on a more integrated basis. The book presents a performance measurement approach that goes far beyond traditional capital allocation techniques to measure risk-adjusted shareholder value creation, and supplements this strategic view of integrated risk with step-by-step tools and techniques for constructing a risk management system that achieves these objectives. Practical tools for managing risk in the financial world Updated to include the most recent events that have influenced risk management Topics covered include the basics of present value, forward rates, and interest rate compounding; American vs. European fixed income options; default probability models; prepayment models; mortality models; and alternatives to the Vasicek model Comprehensive and in-depth, Advanced Financial Risk Management is an essential resource for anyone working in the financial field.



Dangerous Markets


Dangerous Markets
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Author : Dominic Barton
language : en
Publisher: John Wiley & Sons
Release Date : 2002-10-02

Dangerous Markets written by Dominic Barton 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 2002-10-02 with Business & Economics categories.


A corporate guide to crisis management in volatile financial markets Current financial crises in Argentina, Japan, and Turkey are being played out on the front pages of newspapers, and these are just the most recent financial crises that have rolled across the globe in the last decade and whose far-reaching impact hurts business around the world. Dangerous Markets: Managing in Financial Crises recognizes that no global corporation or financial institution can afford to ignore the potential of a financial storm and will help top management and financial professionals navigate through this often disastrous maze. While many books discuss financial crises and their ramifications, none has presented an action plan for managing these storms—until now. Dangerous Markets: Managing in Financial Crises presents a method that allows executives and financial professionals to recognize the warning signs of a financial crisis and act appropriately before the situation spirals out of control. Based on years of research and practice in cleaning up the mess, McKinsey consultants Barton, Newell, and Wilson reveal the warning signs of potential financial catastrophes and provide unique principles that can be followed to shape and manage a strategy for survival.



Credit Risk Management For Derivatives


Credit Risk Management For Derivatives
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Author : Ivan Zelenko
language : en
Publisher: Springer
Release Date : 2017-07-20

Credit Risk Management For Derivatives written by Ivan Zelenko and has been published by Springer this book supported file pdf, txt, epub, kindle and other format this book has been release on 2017-07-20 with Business & Economics categories.


This Palgrave Pivot assesses the impact of the regulatory framework for derivatives built post-crisis and examines its ambition to centralize and minimize credit risk, enhance transparency, and regain control. Zelenko delves into the powerful destabilizing forces exerted by derivatives markets in the global financial meltdown of 2008. Recapping the evolution in markets and counterparty risk management, as well as key aspects of regulation and their impact, this book aims to give readers the big picture and foster a deep understanding of the role of derivatives markets in the financial crisis. This practical angle will give useful keys to end-users and their risk managers, as they are faced with a new, complex, and changing environment. Additionally, this book conducts a comprehensive analysis of the new metrics the market has created to model, price, and manage credit risk, such as the Credit Value Adjustment (CVA), the Debt Value Adjustment (DVA), or the Funding Value Adjustment (FVA), and takes full stock of a domain that is still in rapid evolution. This volume covers the concepts, methods, and approaches taken by banks to manage counterparty credit risk in their derivatives activities in the new post-crisis market and regulatory environment, and it aims to highlight what is practical and effective today.