Managing Extreme Financial Risk
Autor: | Karamjeet Paul |
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EAN: | 9780124172227 |
eBook Format: | ePUB/PDF |
Sprache: | Englisch |
Produktart: | eBook |
Veröffentlichungsdatum: | 16.09.2013 |
Untertitel: | Strategies and Tactics for Going Concerns |
Kategorie: | |
Schlagworte: | 2008 crisis AIG Andrew Haldane Bank of England Basel III Business interruption Capital Chaos theory Citicorp Competitive advantage Continental Bank Contingency Credit policy Effective sustainability management Fi Financial institutions |
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Managing Extreme Financial Risk addresses the need for better management strategies in light of increased market risk and volatility in financial institutions' revenue models. Top officials from the financial and regulatory industries point to real corporate issues, showing how institutions react to financial crises. From first-hand experiences, they explain how effective sustainability management does not just prevent being blindsided; it also leads to proactive solutions that enhance an institution's strength to weather a sudden financial crisis, add significant shareholder value, and reduce systemic risk. Readable, coherent, and logical, Managing Extreme Financial Risk shows how extreme risk needs to be handled when the cost of being wrong means the difference between life and death of the institution. - Based on the firsthand experiences and perspectives of senior-level executives - Concentrates on extreme risk, when the cost of being wrong is not the loss of profits, but the death of the institution - Written to be easily understood without algorithms, models, and quants
Karamjeet Paul has over 30 years of operating, finance, treasury, and exposure managment experience, giving him unique expertise in identifying and addressing critical risk-exposure-reward and other strategic issues at the highest levels in large organizations. Mr. Paul's perspective has been gleaned from hands-on experience in large global organizations, startups in entrepreneurial settings, and consulting assignments.
Karamjeet Paul has over 30 years of operating, finance, treasury, and exposure managment experience, giving him unique expertise in identifying and addressing critical risk-exposure-reward and other strategic issues at the highest levels in large organizations. Mr. Paul's perspective has been gleaned from hands-on experience in large global organizations, startups in entrepreneurial settings, and consulting assignments.