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Kategorie szczegółowe BISAC

Kategoria BISAC: Business & Economics >> Insurance - Risk Assessment & Management

ilość książek w kategorii: 1394

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 The Spatial Dimension of Risk: How Geography Shapes the Emergence of Riskscapes Detlef Muller-Mahn 9781138900943 Routledge
The Spatial Dimension of Risk: How Geography Shapes the Emergence of Riskscapes

ISBN: 9781138900943 / Angielski / Miękka / 264 str.

ISBN: 9781138900943/Angielski/Miękka/264 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Detlef Muller-Mahn

Through its exploration of the spatial dimension of risk, this book offers a brand new approach to theorizing risk, and significant improvements in how to manage, tolerate and take risks. A broad range of risks are examined, including natural hazards, climate change, political violence, and state failure. Case studies range from the Congo to Central Asia, from tsunami in Japan and civil war affected areas in Sri Lanka to avalanche hazards in Austria. In each of these cases, the authors examine the importance and role of space in the causes and differentiation of risk, in how we can...

Through its exploration of the spatial dimension of risk, this book offers a brand new approach to theorizing risk, and significant improvements in...

cena: 263,24

 Interest Rate Derivatives Explained: Volume 2: Term Structure and Volatility Modelling Kienitz, Jörg 9781137360182 Palgrave MacMillan
Interest Rate Derivatives Explained: Volume 2: Term Structure and Volatility Modelling

ISBN: 9781137360182 / Angielski / Twarda / 248 str.

ISBN: 9781137360182/Angielski/Twarda/248 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Jorg Kienitz
This book on Interest Rate Derivatives has three parts. The first part is on financial products and extends the range of products considered in Interest Rate Derivatives Explained I. In particular we consider callable products such as Bermudan swaptions or exotic derivatives. The second part is on volatility modelling. The Heston and the SABR model are reviewed and analyzed in detail. Both models are widely applied in practice. Such models are necessary to account for the volatility skew/smile and form the fundament for pricing and risk management of complex interest rate structures such as...
This book on Interest Rate Derivatives has three parts. The first part is on financial products and extends the range of products considered in Intere...
cena: 183,25

 Market Timing and Moving Averages: An Empirical Analysis of Performance in Asset Allocation Glabadanidis, P. 9781137364685 Palgrave MacMillan
Market Timing and Moving Averages: An Empirical Analysis of Performance in Asset Allocation

ISBN: 9781137364685 / Angielski / Twarda / 177 str.

ISBN: 9781137364685/Angielski/Twarda/177 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Paskalis Glabadanidis
There is a prevailing view among researchers and practitioners that abnormal risk-adjusted returns are an anomaly of financial market inefficiency. This outlook is misleading, since such returns only shed light on the imperfect models commonly used to measure and benchmark investment performance. In particular, using static asset pricing models to judge the performance of a dynamic investment strategy leads to flawed inferences when predicting market indicators. Market Timing and Moving Averages investigates the performance of moving average price indicators as a tactical asset allocation...
There is a prevailing view among researchers and practitioners that abnormal risk-adjusted returns are an anomaly of financial market inefficiency. Th...
cena: 529,44

 The XVA of Financial Derivatives: CVA, DVA and FVA Explained Dongsheng Lu 9781137435835 PALGRAVE MACMILLAN
The XVA of Financial Derivatives: CVA, DVA and FVA Explained

ISBN: 9781137435835 / Angielski / Twarda / 218 str.

ISBN: 9781137435835/Angielski/Twarda/218 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Dongsheng Lu
This latest addition to the Financial Engineering Explained series focuses on the new standards for derivatives valuation, namely, pricing and risk management taking into account counterparty risk, and the XVA's Credit, Funding and Debt value adjustments.
This latest addition to the Financial Engineering Explained series focuses on the new standards for derivatives valuation, namely, pricing and risk ma...
cena: 285,06

 Foresight in Action: Developing Policy-Oriented Scenarios Marjolein Va Susan Va 9781138866997 Routledge
Foresight in Action: Developing Policy-Oriented Scenarios

ISBN: 9781138866997 / Angielski / Miękka / 194 str.

ISBN: 9781138866997/Angielski/Miękka/194 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Marjolein Van Asselt; Susan Van 't Klooster
Assessing the future is vital in informing public policy decisions. One of the most widespread approaches is the development of scenarios, which are alternative hypothetical futures. Research has indicated, however, that the reality of how professionals go about employing scenarios is often starkly at odds with the theory - a finding that has important ramifications for how the resulting images of the future should be interpreted. It also shows the need for rewriting and updating theory. This book, based on an intensive five year study of how experts actually go about assessing the future,...
Assessing the future is vital in informing public policy decisions. One of the most widespread approaches is the development of scenarios, which are a...
cena: 243,36

 Corporate Fraud and Corruption Krambia-Kapardis, M. 9781137406422 Palgrave MacMillan
Corporate Fraud and Corruption

ISBN: 9781137406422 / Angielski / Twarda / 233 str.

ISBN: 9781137406422/Angielski/Twarda/233 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Maria Krambia-Kapardis

Krambia-Kapardis shows how evidence-based, multi-level micro and macro analysis of fraud risk and protective factors inform effective fraud prevention, in turn minimizing financial catastrophes.


Krambia-Kapardis shows how evidence-based, multi-level micro and macro analysis of fraud risk and protective factors inform effective fraud prevent...

cena: 570,17

 Plunkett's Insurance Industry Almanac 2016 Jack W. Plunkett 9781628313796 Plunkett Research
Plunkett's Insurance Industry Almanac 2016

ISBN: 9781628313796 / Angielski / Miękka / 502 str.

ISBN: 9781628313796/Angielski/Miękka/502 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Jack W. Plunkett
Insurance and risk management make up an immense, complex global industry, one which is constantly changing. Competition continues to heat up as mergers and acquisitions create international mega-firms. As the insurance industry grows more global, underwriters see huge potential in China, the world's fastest-growing business market, as well as India, Indonesia, Africa and other emerging markets. Specialty insurance is creating high profits. Meanwhile, technology is making back-office tasks easier and more efficient, while direct selling and e-commerce are changing the shape of the insurance...
Insurance and risk management make up an immense, complex global industry, one which is constantly changing. Competition continues to heat up as merge...
cena: 1385,95

 Occupational Risk Control: Connecting Theory to Practice Viner, Derek 9781472419705
Occupational Risk Control: Connecting Theory to Practice

ISBN: 9781472419705 / Angielski / Twarda / 304 str.

ISBN: 9781472419705/Angielski/Twarda/304 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
In Occupational Risk Control, Derek Viner brings together the theoretical aspects of his subject into a coherent whole and then connects them with the needs both of practitioners and educators. The theory embraced by the author spans ideas formed between the industrial revolution and the present day, but he focuses on relatively more recent theoretical developments chiefly associated with people-orientated approaches in the discipline of psychology applied to management practice and in the application of analytical ideas to engineering design. The author looks specifically at developments in...
In Occupational Risk Control, Derek Viner brings together the theoretical aspects of his subject into a coherent whole and then connects them with the...
cena: 769,98

 Macroprudential Regulation and Policy for the Islamic Financial Industry: Theory and Applications Zulkhibri, Muhamed 9783319304434 Springer
Macroprudential Regulation and Policy for the Islamic Financial Industry: Theory and Applications

ISBN: 9783319304434 / Angielski / Twarda / 272 str.

ISBN: 9783319304434/Angielski/Twarda/272 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Muhamed Zulkhibri; Abdul Ghafar Ismail; Sutan Emir Hidayat

This volume aims to discuss the current research, theory, methodology and applications of macropreudential regulation and policy for the Islamic financial industry. Published in cooperation with the Islamic Research and Training Institute (IRTI), this book features contributions from a workshop presented in collaboration with the University College of Bahrain (UCB) in Manama, Bahrain, aimed to bring together experts in Islamic banking and regulation and financial economics. This resulting book sheds light on how macroprudential policy may be implemented in the Islamic financial system, and...

This volume aims to discuss the current research, theory, methodology and applications of macropreudential regulation and policy for the Islamic fi...

cena: 407,25

 The Safety Critical Systems Handbook: A Straightforward Guide to Functional Safety: Iec 61508 (2010 Edition), Iec 61511 (2015 Edition) and Related Gui Smith, David J. 9780128051214 Elsevier Science & Technology
The Safety Critical Systems Handbook: A Straightforward Guide to Functional Safety: Iec 61508 (2010 Edition), Iec 61511 (2015 Edition) and Related Gui

ISBN: 9780128051214 / Angielski / Twarda / 330 str.

ISBN: 9780128051214/Angielski/Twarda/330 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
David Smith

The Safety Critical Systems Handbook: A Straightforward Guide to Functional Safety: IEC 61508 (2010 Edition), IEC 61511 (2016 Edition) & Related Guidance, Fourth Edition, presents the latest on the electrical, electronic, and programmable electronic systems that provide safety functions that guard workers and the public against injury or death, and the environment against pollution.

The international functional safety standard IEC 61508 was revised in 2010, and authors David Smith and Kenneth Simpson provide a comprehensive guide to the revised standard, as well as the...

The Safety Critical Systems Handbook: A Straightforward Guide to Functional Safety: IEC 61508 (2010 Edition), IEC 61511 (2016 Edition) & Related...

cena: 736,71

 Explosion Hazards in the Process Industries Rolf Eckhoff 9780128032732 Elsevier Science & Technology
Explosion Hazards in the Process Industries

ISBN: 9780128032732 / Angielski / Miękka / 576 str.

ISBN: 9780128032732/Angielski/Miękka/576 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Rolf Eckhoff

Explosion Hazards in the Process Industries, Second Edition, delivers the most current and comprehensive content for today's process engineer. Process safety and petrochemical engineers inherently accept that there is a risk of explosions when working on process facilities such as plants and refineries. Yet many that enter this field do not have a fundamental starting point to understand the nature of explosions, and there are a lot of misconceptions and impartial information in the market.

Explosion Hazards in the Process Industries, Second Edition, answers this need...

Explosion Hazards in the Process Industries, Second Edition, delivers the most current and comprehensive content for today's process engine...

cena: 596,11

 Rethinking Bhopal: A Definitive Guide to Investigating, Preventing, and Learning from Industrial Disasters Kenneth Bloch 9780128037782 Elsevier Science & Technology
Rethinking Bhopal: A Definitive Guide to Investigating, Preventing, and Learning from Industrial Disasters

ISBN: 9780128037782 / Angielski / Miękka / 510 str.

ISBN: 9780128037782/Angielski/Miękka/510 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Kenneth Bloch

Rethinking Bhopal: A Definitive Guide to Investigating, Preventing, and Learning from Industrial Disasters is the go-to source for anyone seeking to learn how to improve process safety management (PSM) through applying fundamental asset reliability and incident investigation concepts.

The seeds that unified PSM on a global scale were planted in Bhopal, India on December 3, 1984. Since then, considerable progress has been made to protect both workers and communities from catastrophic industrial failures. Industry acknowledges its responsibility to create value with accrued...

Rethinking Bhopal: A Definitive Guide to Investigating, Preventing, and Learning from Industrial Disasters is the go-to source for anyone s...

cena: 392,39

 Integrated Reporting: A New Accounting Disclosure Mio, Chiara 9781137551481 Palgrave MacMillan
Integrated Reporting: A New Accounting Disclosure

ISBN: 9781137551481 / Angielski / Twarda / 312 str.

ISBN: 9781137551481/Angielski/Twarda/312 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Chiara Mio

This book is a timely addition to the fast-growing international debate on Integrated Reporting, which offers a holistic view of the evolution and practice of Integrated Reporting. The book covers the determinants and consequences of Integrated Reporting, as well as examining some of the most relevant issues (particularly in the context of the United States) in the debate about Integrated Reporting.



This book is a timely addition to the fast-growing international debate on Integrated Reporting, which offers a holistic view of the evolution and ...

cena: 692,36

 Equity Markets in India: Returns, Risk and Price Multiples Singh, Shveta 9789811008672 Springer
Equity Markets in India: Returns, Risk and Price Multiples

ISBN: 9789811008672 / Angielski / Twarda / 189 str.

ISBN: 9789811008672/Angielski/Twarda/189 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Shveta Singh; P. K. Jain; Surendra Singh Yadav
The book presents a comprehensive view of the Indian equity markets over the past two decades (1994-2014). Equity markets constitute the most important segment of stock exchanges; in fact, the status of equity returns is, by and large, considered as a barometer of the state of a country s economy. Returns earned by the equity investors on their funds invested in equity markets have become a decisive factor in the growth of such markets. In this context, the book discusses all the major aspects of equity returns and also conducts a dis-aggregative analysis based on underlying factors like age,...
The book presents a comprehensive view of the Indian equity markets over the past two decades (1994-2014). Equity markets constitute the most importan...
cena: 407,25

 Financial Deepening and Post-Crisis Development in Emerging Markets: Current Perils and Future Dawns Gevorkyan, Aleksandr V. 9781137522450 Palgrave MacMillan
Financial Deepening and Post-Crisis Development in Emerging Markets: Current Perils and Future Dawns

ISBN: 9781137522450 / Angielski / Twarda / 279 str.

ISBN: 9781137522450/Angielski/Twarda/279 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Aleksandr V. Gevorkyan; Otaviano Canuto
This collection empirically and conceptually advances our understanding of the intricacies of emerging markets financial and macroeconomic development in the post-2008 crisis context. Covering a vast geography and a broad range of economic viewpoints, this study serves as an informed guide in the unchartered waters of fundamental uncertainty as it has been redefined in the post-crisis period. Contributors to the collection go beyond risks-opportunities analyses, looking deeper into the nuanced interpretations of data and economic categories as interplay of developing world characteristics in...
This collection empirically and conceptually advances our understanding of the intricacies of emerging markets financial and macroeconomic development...
cena: 529,44

 Portfolio Construction, Measurement, and Efficiency: Essays in Honor of Jack Treynor Guerard Jr, John B. 9783319339740 Springer
Portfolio Construction, Measurement, and Efficiency: Essays in Honor of Jack Treynor

ISBN: 9783319339740 / Angielski / Twarda / 453 str.

ISBN: 9783319339740/Angielski/Twarda/453 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
John B. Guerard Jr

This volume, inspired by and dedicated to the work of pioneering investment analyst, Jack Treynor, addresses the issues of portfolio risk and return and how investment portfolios are measured. In a career spanning over fifty years, the primary questions addressed by Jack Treynor were: Is there an observable risk-return trade-off? How can stock selection models be integrated with risk models to enhance client returns? Do managed portfolios earn positive, and statistically significant, excess returns and can mutual fund managers time the market?

Since the publication of a pair of...

This volume, inspired by and dedicated to the work of pioneering investment analyst, Jack Treynor, addresses the issues of portfolio risk and retur...

cena: 610,90

 Analytical Finance: Volume I: The Mathematics of Equity Derivatives, Markets, Risk and Valuation Röman, Jan R. M. 9783319340265 Palgrave MacMillan
Analytical Finance: Volume I: The Mathematics of Equity Derivatives, Markets, Risk and Valuation

ISBN: 9783319340265 / Angielski / Miękka / 492 str.

ISBN: 9783319340265/Angielski/Miękka/492 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Jan R. M. Roman

This book provides an introduction to the valuation of financial instruments on equity markets. Written from the perspective of trading, risk management and quantitative research functions and written by a practitioner with many years' experience in markets and in academia, it provides a valuable learning tool for students and new entrants to these markets.

Coverage includes:

-Trading and sources of risk, including credit and counterparty risk, market and model risks, settlement and Herstatt risks.

-Numerical methods including discrete-time methods, finite...

This book provides an introduction to the valuation of financial instruments on equity markets. Written from the perspective of trading, risk manag...

cena: 305,43

 Modern Credit Risk Management: Theory and Practice Koulafetis, Panayiota 9781137524065 Palgrave MacMillan
Modern Credit Risk Management: Theory and Practice

ISBN: 9781137524065 / Angielski / Twarda / 234 str.

ISBN: 9781137524065/Angielski/Twarda/234 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Panayiota Koulafetis

Modern Credit Risk Management: From Theory to Practice is a practical guide to the latest risk management tools and techniques applied in the market to assess and manage credit risks at bank, sovereign, corporate and structured finance level. It strongly advocates the importance of sound credit risk management and how this can be achieved with prudent origination, credit risk policies, approval process, setting of meaningful limits and underwriting criteria.

The book discusses the various quantitative techniques used to assess and manage credit risk, including methods to...

Modern Credit Risk Management: From Theory to Practice is a practical guide to the latest risk management tools and techniques applied in th...

cena: 407,25

 Corporate Fraud and Corruption: A Holistic Approach to Preventing Financial Crises Krambia-Kapardis, M. 9781349680818 Palgrave Macmillan
Corporate Fraud and Corruption: A Holistic Approach to Preventing Financial Crises

ISBN: 9781349680818 / Angielski / Miękka / 233 str.

ISBN: 9781349680818/Angielski/Miękka/233 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Maria Krambia-Kapardis

Krambia-Kapardis shows how evidence-based, multi-level micro and macro analysis of fraud risk and protective factors inform effective fraud prevention, in turn minimizing financial catastrophes.


Krambia-Kapardis shows how evidence-based, multi-level micro and macro analysis of fraud risk and protective factors inform effective fraud prevent...

cena: 407,25

 China's Financial System: Growth and Inefficiency De Rambures, Dominique 9783319404509 Palgrave MacMillan
China's Financial System: Growth and Inefficiency

ISBN: 9783319404509 / Angielski / Twarda / 195 str.

ISBN: 9783319404509/Angielski/Twarda/195 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Dominique De Rambures
Chapters discuss approaches in tackling the Chinese national debt, the recent stock exchange collapse and subsequent currency devaluation, declining trade surplus, the wariness of foreign investors and its negative impact on foreign exchange reserves, and the heavy burden of state-owned "zombie companies".
Chapters discuss approaches in tackling the Chinese national debt, the recent stock exchange collapse and subsequent currency devaluation, declining t...
cena: 447,98

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