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Informationen zum Autor JIHAD S. NADER is currently Dean of the School of Business Administration at the American University in Dubai and President of Management Skills Consulting and Training. He has extensive academic and practical experience in the US, Canada, Middle East and Europe, which has included academic posts at the universities of Toronto and Concordia, and Citibank. In addition to his academic role, he has taken a wide range of consultancy work and has also participated in the process of legislative reform of the Canadian financial sector. He holds a Ph.D. from the University of Toronto. Klappentext Wirkungsvolles Risikomanagement ist für den Erfolg eines Unternehmens unerlässlich. "A Manager's Concise Guide to Risk" bietet eine ausgezeichnete Einführung in die Konzepte und praktische Anwendung des Risikomanagement für Unternehmen jeder Größe. Das Buch gibt einen umfassenden Überblick über die verschiedenen Risikoarten, mit denen Unternehmen konfrontiert sein können und beschreibt detailliert, wie man diese Risiken mit Hilfe mathematischer Verfahren quantifiziert, überwacht und analysiert. In einfachen Schritten erläutert der Autor zunächst die Grundlagen und geht dann über zur differenzierten technischen Risikoanalyse. Zusammenfassung Intended to serve as a reference that can assist you in recognizing and identifying risk! and in distinguishing between the numerous types and varieties of risk that are likely to arise in the course of business and economic activity. Inhaltsverzeichnis Preface.Assigned Risk.Basis Risk.Break-even Risk.Business Risk.Call Risk.Cash Flow Risk.Catastrophic Risk.Collection Risk.Competitive Risk.Confiscation Risk.Contagion Risk.Country Risk.Coupon Reinvestment Risk.Credit Risk.Currency Risk.Currency Inconvertibility Risk.Daylight Overdraft Risk.Default Risk.Deflation Risk.Deposit Cost Risk.Diversifiable Risk.Downside Risk.Dynamic Risk.E-banking Risks.Economic Mismanagement Risk.Environmental Risk.Ethical Risk.Exchange Rate Risk.Expropriation Risk.Fidelity Risk.Fiduciary Risk.Financing Risk.Foreign Exchange Rate Risk.Foreseeable Risk.Fraud Risk.Fundamental Risks.Growth Risk.Hazard.Ideally Insurable Risks.Inflation Risk.Information Systems Risk.Insolvency Risk.Insurable Risks.Interbank Risk.Interest Rate Risk.Intraday Credit Risk.Investment Risk.Legal Risk.Liability Risks.Liquidity Risk.Market Risk.Marketability Risk.Marketing Risk.Maturity Risk.Moral Hazard.Morale Hazard.Nondiversifiable Risk.Nonmarket Risk.Nonspecific Risk.Obvious Risk.Occupational Hazard.Operating Risk.Particular Risks.Payment System Risk.Performance Risks.Personal Risks.Political Risk.Portfolio Risk.Prepayment Risk.Price Risk.Property Risks.Pure RisksReinvestment Risk.Repatriation Risk.Resource Productivity Risk.Risk of Loss (in Commercial Law).Risk of Loss (in Finance).Risk of Loss (in Insurance).Risk of Non-persuasion.Security Risk.Settlement Risk.Sovereign Risk.Specific Risk.Speculative Risk.Static Risk.Systematic Risk.Systemic Risk.Technological Obsolescence Risk.Term Structure Risk.Total Risk.Trade Noncompletion Risk.Transaction Risk.Transfer Risk.Translation Risk.Uninsurable Risks.Unique Risk.Unsystematic Risk.Upside Risk.War, Revolution, Riot, and Civil Commotion Risk....