Presenting experience, research and thought leadership from experts in various disciplines (from INSEAD, Stern Business School, Deutsche Bank and Allianz among others), this book explores why the financial crisis happened and presents recommendations for the building of a new, sustainable financial system.
Presenting experience, research and thought leadership from experts in various disciplines (from INSEAD, Stern Business School, Deutsche Bank and Allianz among others), this book explores why the financial crisis happened and presents recommendations for the building of a new, sustainable financial system.
Edited By Steen Thomsen, Caspar Rose and Ole Risager
Inhaltsangabe
List of Figures and Tables Foreword; L.B. Falkenberg Introduction: Macroeconomic Perspectives on the Financial Crisis: An Overview; O.Risager PART I: REGULATION AND RISK MANAGEMENT Overview: Regulation and Risk Governance; C.Rose The Credit Crisis of 2007 and its Implications for Risk Management; J.Hull Some Thoughts on the Role of Mathematical Models in Light of the Crisis; D.Lando Enterprise Architectures for Investment Managers from a Risk Management Perspective; M.Schröter PART II: REGULATION AND GOVERNANCE Overview: Corporate Governance and the Financial Crisis; S.Thomsen Avoiding International Financial Crises: An Incomplete Reform Agenda; J.Dermine Reputational Risk and the Financial Crisis; I.Walter Governance and the Financial Crisis; R.Adams Governance, Risk and Compliance in the Financial Sector: An IT Perspective in Light of the Recent Financial Crisis; K.J.Nordgard PART III: IN PRACTICE Three Executive Interviews: Evidence from the Front Line of Investment Management; C.Rose
List of Figures and Tables Foreword; L.B. Falkenberg Introduction: Macroeconomic Perspectives on the Financial Crisis: An Overview; O.Risager PART I: REGULATION AND RISK MANAGEMENT Overview: Regulation and Risk Governance; C.Rose The Credit Crisis of 2007 and its Implications for Risk Management; J.Hull Some Thoughts on the Role of Mathematical Models in Light of the Crisis; D.Lando Enterprise Architectures for Investment Managers from a Risk Management Perspective; M.Schröter PART II: REGULATION AND GOVERNANCE Overview: Corporate Governance and the Financial Crisis; S.Thomsen Avoiding International Financial Crises: An Incomplete Reform Agenda; J.Dermine Reputational Risk and the Financial Crisis; I.Walter Governance and the Financial Crisis; R.Adams Governance, Risk and Compliance in the Financial Sector: An IT Perspective in Light of the Recent Financial Crisis; K.J.Nordgard PART III: IN PRACTICE Three Executive Interviews: Evidence from the Front Line of Investment Management; C.Rose
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