Corporate Risk Management
Ernst, Dietmar, Häcker, Joachim
Produktnummer:
18db519b9386164552959e32478664a417
Autor: | Ernst, Dietmar Häcker, Joachim |
---|---|
Themengebiete: | Credit Risk Management Hedging Monte Carlo Portfolio Management Quantitative Finance Risk Aggregation Risk Analysis Risk Measurement Value at Risk Volatility |
Veröffentlichungsdatum: | 10.11.2024 |
EAN: | 9783031531255 |
Sprache: | Englisch |
Seitenzahl: | 209 |
Produktart: | Gebunden |
Verlag: | Springer International Publishing |
Untertitel: | A Case Study on Risk Evaluation |
Produktinformationen "Corporate Risk Management"
In times of crisis, risk management is more important than ever. In addition, companies are obliged to identify, quantify and aggregate risks as part of a risk management system. Legal and auditing standards have set the framework for doing so. This book uses a case study to show ‘step by step’ how risks can be analyzed and quantified with the help of Microsoft Excel. The book begins with the graphical representation of risks and the calculation of risk parameters such as the value at risk. It subsequently aggregates different risks into an overall risk using Monte Carlo simulation. Hedging risks is also explained, and how non-hedgeable risks can be integrated into a business plan. The assessment of extreme risks is also addressed, as is the modeling of volatilities. The book is aimed at students of business administration with a focus on finance.

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