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Governing Risks
(The International Library of Essays in Law and Society) by Pat O'Malley (Hardcover - Dec 2005). Ashgate Publishing (December 2005). More information 

How to Keep Operating in a Crisis: Managing a Business in a Major Catastrophe by James Callan (Hardcover - Oct 2002). Gower Pub Co (October 2002). More information  

Insurance And Risk Management (Business Economics Series) by Gregory R. Niehaus (Hardcover - Nov 30, 2008). Edward Elgar Pub (November 30, 2008). More information  

Minimizing Enterprise Risk: A Practical Guide to Risk & Continuity (Executive Briefings) by Corinne A. Gregory (Paperback - Sep 2003). Financial Times Management (September 2003). More information 

MODEL RISK, Concepts, Calibration and Pricing by Rajna Gibson and RISK BOOK (Hardcover - May 2000). Risk Books; 1 edition (May 2000).
A comprehensive compilation on the concept of model risk and the potential pitfalls associated with modelling financial risks. * Provides an assessment of various models, examining the weaknesses and provides methods to mitigate potential model failures and deficiencies * Covers the testing of models, what should be tested and what the parameters should be * Core contributions selected and introduced by Professor Rajna Gibson, Swiss Banking Institute. More information 

Operational Risk 2.0: Driving value creation in a post-Basel II era by Ellen Davis (ed) (Hardcover - Sep 20, 2007). Risk Books (September 20, 2007).
Operational Risk 2.0 looks beyond the implementation of Basel II, to how op risk executives can use the tools, intelligence and techniques at their disposal to better inform senior management and the board of directors about the challenges they face. More information 

Operational Risk Management (Finance and Capital Markets) by Imad A. Moosa (Hardcover - Oct 2, 2007. Palgrave Macmillan; 1st edition (October 2, 2007).
Operational risk management is attracting the attention of academics and professionals worldwide. Academics are interested in this topic because it provides opportunities for the application of sophisticated statistical techniques, as well as lucrative opportunities for consultancy work and challenging questions on how to measure operational risk. For the practitioners, acquiring knowledge of operational risk is more than mere luxury as banks all around the world have to be Basel 2 compliant within the next two years. More information 

Risk Assessment and Management in Pervasive Computing: Operational, Legal, Ethical, and Financial Perspectives by Varuna Godara (Hardcover - Oct 31, 2008). Information Science Reference (October 31, 2008). More information  

Risk Governance: Coping with Uncertainty in a Complex World (The Earthscan Risk in Society Series) by Ortwin Renn (Hardcover - Jun 2008). Earthscan Publications Ltd. (June 2008).
This book, for the first time, brings together and updates the ground-breaking work of renowned risk theorist and researcher Ortwin Renn and integrates the major disciplinary concepts of risk in the social, engineering, and natural sciences. The book unfolds through consecutive acts, opening with the context of risk handling and flowing through the core topics of assessment, evaluation, perception, management, and communication, culminating in a look at the transition from risk management to risk governance and a glimpse at a new understanding of risk in (post)modern societies. More information 

Risk Management, Volumes I & II (The International Library of Management) by David T. H. Weir and Gerald Mars (Hardcover - Nov 2000). Ashgate Publishing; 1 edition (November 2000). More information 

The Operational Risk Manager's Guide: How to understand methodologies, policies and procedures by Sergio Scandizzo (Paperback - Feb 28, 2007). Risk Books (February 28, 2007).
This new executive report leads you step-by-step through a busy day in the life of an operational risk manager. Presenting you with a set of typical scenarios and demonstrating how you should tackle these pressing demands and strategic decisions. It covers all the daily tasks, challenges and issues commonly faced by op risk professionals, such as measurement and reporting, policy, infrastructure, developing relationships with other groups within the bank, recruitment, training, control and mitigation of operational risk. More information   

The Shape of Risk: A New Look at Risk Management (Finance and Capital Markets) by Charles A. Fishkin (Hardcover - Nov 10, 2005). Palgrave Macmillan (November 10, 2005).
Written by an experienced risk manager, this innovative new book explores the core concepts of risk management, including in-depth coverage of its scope, rationale, and practical applications. In addition to being fundamentally important to risk managers, this text will also be invaluable to senior executives, directors, regulators, and capital markets professionals. More information 


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