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In: Managerial Finance 32, no. 9
This book is the English edition of the German third edition, which has proven to be a standard work on the subject of risk management. The English edition extends the scope of use to the English-language bachelor's and master's degree courses in economics and for potential use (especially as a reference work) in the professional practice of risk management. The subject of the book is company-wide risk management based on the Value at Risk concept. This includes quantitative and qualitative risk measurement, risk analysis based on the RoRaC and various management tools for risk control. Other topics covered are the peculiarities of the various risk types, e.g. risk management of the effects of climate change, the global financial crisis and risk reporting. The book is rounded off by a comprehensive case study, in which all aspects are summarized. The volume is thus an indispensable standard work for students and practitioners
In: Global Crisis and Sustainability Technologies, p. 179-233
In: Chartered secretary: CS ; the magazine of the Institute of Chartered Secretaries & Administrators, p. 43-44
ISSN: 1363-5905
In: Chartered secretary: CS ; the magazine of the Institute of Chartered Secretaries & Administrators, p. 43
ISSN: 1363-5905
SSRN
In: Financial engineering and risk management Vol. 3
In: Building a World-Class Civil Service for Twenty-First Century India, p. 153-164
In: Politická ekonomie: teorie, modelování, aplikace, Volume 50, Issue 4, p. 603-608
ISSN: 0032-3233