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Enterprise Risk Management in Finance

✍ Scribed by Desheng Dash Wu, David L. Olson


Publisher
Palgrave Macmillan
Year
2015
Tongue
English
Leaves
277
Category
Library

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✦ Synopsis


Enterprise Risk Management in Finance is a guide to measuring and managing Enterprise-wide risks in financial institutions. Financial institutions operate in a unique manner when compared to other businesses. They are, by the nature of their business, highly exposed to risk at every level, and indeed employ their own risk management functions to manage many of these risks. However, financial firms are also highly exposed at enterprise level. Traditional approaches and frameworks for ERM are flawed when applied to banks, asset managers or insurance houses, and a different approach is needed.

This new book provides a comprehensive, technical guide to ERM for financial institutions. Split into three parts, it first sets the scene, putting ERM in the context of finance houses. It will examine the financial risks already inherent in banking, and then insurance operations, and how these need to be accounted for at a floor and enterprise level. The book then provides the necessary tools to implement ERM in these environments, including performance analysis, credit analysis and forecasting applications. Finally, the book provides real life cases of successful and not so successful ERM in financial institutions.

Technical and rigorous, this book will be a welcome addition to the literature in this area, and will appeal to risk managers, actuaries, regulators and senior managers in banks and financial institutions.

✦ Table of Contents


  1. Enterprise Risk Management
  2. Enron
  3. Financial Risk Management
  4. The Real Estate Crash Of 2008
  5. Financial Risk Forecast Using Machine Learning And Sentiment Analysis
  6. On-Line Stock Forum Sentiment Analysis
  7. DEA Risk Scoring Model Of Internet Stocks
  8. Bank Credit Scoring
  9. Credit Scoring Using Multiobjective Data Mining
  10. Performance Evaluation And Risk Analysis Of Online Banking
  11. Economic Perspective
  12. British Petroleum Deepwater Horizon
  13. Bank Efficiency Analysis
  14. Catastrophe Bond And Risk Modeling
  15. Bilevel Programming Merger Analysis In Banking
  16. Sustainability And Risk In Globalization
  17. Risk From Natural Disaster
  18. Pricing Of Carbon Emission Exchange In The EU ETS
  19. Volatility Forecasting Of The Crude Oil Market
  20. Confucius Three-Stage Learning Risk Management

✦ Subjects


Banks Banking Economics Business Money Finance Corporate Crowdfunding Financial Risk Management Wealth Mathematics Skills Economic Theory Macroeconomics Microeconomics New Used Rental Textbooks Specialty Boutique


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