Business & Economics Books:

Catastrophic Risk

Analysis and Management
Click to share your rating 0 ratings (0.0/5.0 average) Thanks for your vote!

Format:

Hardback
$268.99
Available from supplier

The item is brand new and in-stock with one of our preferred suppliers. The item will ship from a Mighty Ape warehouse within the timeframe shown.

Usually ships in 3-4 weeks

Buy Now, Pay Later with:

4 payments of $67.25 with Afterpay Learn more

Availability

Delivering to:

Estimated arrival:

  • Around 4-14 June using International Courier

Description

Catastrophic risk is one of the most significant and challenging areas of corporate risk management. The onset of hurricane, earthquake, windstorm, terrorism, systemic financial dislocation, or "clash losses" can create billions of dollars of losses, financially damaging companies and regional/national economies. A single "supercat" event affecting a densely populated and economically productive area may be exceptionally devastating, causing losses in excess of USD100 billion. The possibility that these catastrophic events can occur means that the topic must be properly considered: at the corporate level directors must ensure sufficient resources and post-loss financing arrangements to avoid financial distress, and at the macro level regulators and intermediaries must ensure adequacy of risk mechanisms to absorb losses. Catastrophic Risk is the first comprehensive volume to address the topic from a financial perspective. The book should be essential reading for corporate treasurers, CFOs and insurance/financial risk managers responsible for corporate risk management.

Author Biography:

ERIK BANKS, an independent risk consultant, writer, and lecturer, has held senior risk management positions at several global financial institutions over the past 20 years, including Merrill Lynch, Citibank, and XL Capital. He is the author of 18 books on risk, derivatives, governance, and merchant banking, including the John Wiley titles Alternative Risk Transfer, Exchange-Traded Derivatives, The Simple Rules of Risk, and E-Finance. 
Release date Australia
March 18th, 2005
Author
Audience
  • Professional & Vocational
Pages
194
Dimensions
177x249x19
ISBN-13
9780470012369
Product ID
2470280

Customer reviews

Nobody has reviewed this product yet. You could be the first!

Write a Review

Marketplace listings

There are no Marketplace listings available for this product currently.
Already own it? Create a free listing and pay just 9% commission when it sells!

Sell Yours Here

Help & options

Filed under...