Risk and contingency management : breakthroughs in research and practice için kapak resmi
Başlık:
Risk and contingency management : breakthroughs in research and practice
Dil:
English
ISBN:
9781522539339
Yayın Bilgileri:
Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) :

IGI Global,

[2017]
Fiziksel Tanımlama:
31 PDFs (ix, 472 pages)
İçerik:
Section 1. Analysis and prevention. Chapter 1. Early warning system for financial crises ; Chapter 2. Early warning tools for financial system distress: current drawbacks and future challenges ; Chapter 3. Understanding the financial derivatives instruments ; Chapter 4. An assessment on inflation risk and its effects on business operations ; Chapter 5. Measuring country risk: a topic of renewed interest ; Chapter 6. Risk analysis using simulation software applied on a road infrastructure project ; Chapter 7. Survival analysis and ROC analysis in analyzing credit risks: assessing default risks over time ; Chapter 8. Marketing financial services and products in different cultural environments -- Section 2. Management and recovery. Chapter 9. Financial risk management: an introduction ; Chapter 10. Stochastic processes for the risk management ; Chapter 11. The effects of situational and dispositional factors on the change in financial risk tolerance ; Chapter 12. Risk management in Green corporate strategies ; Chapter 13. Standardization of information and financial innovation: lessons from mortgage securitization ; Chapter 14. The role of financial market infrastructures in financial stability: an overview ; Chapter 15. Project risk management process for professionals: a value-based approach ; Chapter 16. Risk management in agriculture: production and technical risk management ; Chapter 17. The rise of credit default swaps and its implications on financial stability ; Chapter 18. Financial innovation in medium-sized enterprises optimizes their gravitation towards capital markets: financial future in perspective -- Section 3. Regional and case-specific. Chapter 19. Service risk management in emerging economies ; Chapter 20. The influence of specific criteria of emerging markets on SME financing in MENA markets ; Chapter 21. Emerging markets reward risk: empirical evidence from MENA during 2008 financial crisis ; Chapter 22. The role of financial innovation and the derivatives market in the world and Turkey in the context of the global crisis of 2008 ; Chapter 23. Risk mitigation practices in banking: a study of HDFC bank.
Özet:
"This book is a comprehensive reference source for the latest scholarly material on trends and techniques for the prediction and evaluation pf financial risks and how to diminish their effect. Highlighting a range of pertinent topics such as project management, risk auditing and reporting, and resource management"-- Provided by publisher.

Mevcut:*

Materyal Türü
Demirbaş Numarası
Yer Numarası
Raf Konumu
Mevcut Konumu
Materyal Istek
E-Kitap 2470169-1001 HD61 .R563 2017e IGI InfoSci
Arıyor...

On Order

Özet

Özet

In business, mistakes and errors will inevitably occur. As such, organizations must be constantly alert and ready to meet challenges head-on. Risk and Contingency Management: Breakthroughs in Research and Practice is a comprehensive reference source for the latest scholarly material on trends and techniques for the prediction and evaluation of financial risks and how to diminish their effect. Highlighting a range of pertinent topics such as project management, risk auditing and reporting, and resource management, this multi-volume book is ideally designed for researchers, academics, professionals, managers, students, and practitioners interested in risk and contingency management.