New Ways for Managing Global Financial Risks

New Ways for Managing Global Financial Risks

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In New Ways for Managing Global Financial Risks, the author presents a closely reasoned explanation of why traditional quantitative methods are no longer adequate and argues the case for a hybrid instrument that will arise from the merging of the capital and insurance markets.
272,00 zł
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166
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9780470012888
In New Ways for Managing Global Financial Risks, the author presents a closely reasoned explanation of why traditional quantitative methods are no longer adequate and argues the case for a hybrid instrument that will arise from the merging of the capital and insurance markets.

Acknowledgements. Introduction. 1. The Traditional Capital Markets Pipeline. 2. The Problem - Wake Up Management. 3. The Status Quo. 4. Characteristics of the Next-Generation Financial Risk Management Solution. 5. The Next Generation-A New Method, Process and Solution. 6. Case Studies. 7. Conclusion. References. Index.