New Ways for Managing Global Financial Risks (häftad)
Format
Inbunden (Hardback)
Språk
Engelska
Antal sidor
166
Utgivningsdatum
2005-10-01
Upplaga
1
Förlag
John Wiley & Sons Inc
Illustrationer
illustrations
Dimensioner
250 x 175 x 18 mm
Vikt
454 g
Antal komponenter
1
ISBN
9780470012888

New Ways for Managing Global Financial Risks

The Next Generation

Inbunden,  Engelska, 2005-10-01
609
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Finns även som
Looks at the present state-of-the-art in global financial risk management, and then at the innovations and solutions that are being developed to solve the problems with current methodologies. The author presents a closely reasoned explanation of why the traditional quantitative methods are no longer adequate and argues the case for the hybrid instrument that will arise from the merging of the capital and insurance markets. New Ways for Managing Global Financial Risks will allow readers to think differently about how global financial risk is managed, and how to simplify the process.

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Övrig information

MICHAEL H. HYMAN was the founder of GH Asset Management, Ltd, London, England, a firm specializing in global fixed income asset management. The firms primary interest is the development of international portfolios of government debt instruments and the use of derivative instruments to manage associated financial risks. Clients include pension funds, corporations, banks, local governments, reinsurance companies and insurance firms. Mr Hymans global fixed income performance track record was consistently in the top one percentile and ranked number one in 1992, 1993, 1995 & 1996 by the PIPER Performance Measurement Service, (reported by Pensions and Investments). A prolific writer and popular speaker, Mr Hyman has led seminars and training programs for investment bankers and money managers worldwide. He has recently founded a new venture, Global Financial Risk Solutions, a financial engineering company. He completed his undergraduate studies from the University of Miami and his postgraduate studies and economic research from the London School of Economics.

Innehållsförteckning

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 GenerationA New Method, Process and Solution. 6. Case Studies. 7. Conclusion. References. Index.