Business & Economics Books:

Risk Quantification

Management, Diagnosis and Hedging
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Description

This book offers a practical answer for the non-mathematician to all the questions any businessman always wanted to ask about risk quantification, and never dare to ask. Enterprise-wide risk management (ERM) is a key issue for board of directors worldwide. Its proper implementation ensures transparent governance with all stakeholders’ interests integrated into the strategic equation. Furthermore, Risk quantification is the cornerstone of effective risk management,at the strategic and tactical level, covering finance as well as ethics considerations. Both downside and upside risks (threats & opportunities) must be assessed to select the most efficient risk control measures and to set up efficient risk financing mechanisms. Only thus will an optimum return on capital and a reliable protection against bankruptcy be ensured, i.e. long term sustainable development. Within the ERM framework, each individual operational entity is called upon to control its own risks, within the guidelines set up by the board of directors, whereas the risk financing strategy is developed and implemented at the corporate level to optimise the balance between threats and opportunities, systematic and non systematic risks. This book is designed to equip each board member, each executives and each field manager, with the tool box enabling them to quantify the risks within his/her jurisdiction to all the extend possible and thus make sound, rational and justifiable decisions, while recognising the limits of the exercise. Beyond traditional probability analysis, used since the 18th Century by the insurance community, it offers insight into new developments like Bayesian expert networks, Monte-Carlo simulation, etc. with practical illustrations on how to implement them within the three steps of risk management, diagnostic, treatment and audit. With a foreword by Catherine Veret and an introduction by Kevin Knight.

Author Biography:

LAURENT CONDAMIN is engineer of the French Grande Ecole “Ecole Centrale de Paris”, PhD in Applied Mathematics and Associate in Risk Management (Insurance Institute of America). He is currently partner and managing director of Elseware where he makes consultancy on risk modelling in top leading companies. JEAN-PAUL LOUISOT is a civil engineer, Master in Economics, Master in Business Administration (Kellog, 1972) and Associate in Risk Management. He has spent more than thirty years of his career to service private and public entities helping them manage their risks and coach their risk managers and executives. As director for the CARM_institute, Ltd, he is in charge of the professional designations ARM and EFARM. As a Professor at Panthéon/Sorbonne University, he teaches a postgraduate course in Risk Management. Jean-Paul teaches also in various Engineering Schools and MBA programs. Previous publications include Exposure Diagnostic (AFNOR – 2004) and 100 Questions to understand Risk Management (AFNOR – 2005). PATRICK NAIM graduated from Ecole Centrale de Paris, and Associate in Risk Management (ARM). He is the founder and CEO of Elseware, a consulting company specialising in quantitative modelling and risk quantification. He also teaches data modelling and Bayesian Networks in several universities and engineering schools in France. He is author of several books in the field of quantitative modelling.
Release date Australia
December 8th, 2006
Audience
  • Professional & Vocational
Pages
286
Dimensions
175x252x23
ISBN-13
9780470019078
Product ID
2471402

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