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Edited By Charles Scawthorn and Kiyoshi Kobayashi
Bringing together leading figures in innovative finance and recognised experts in natural hazards, this multi-contributor guide will help the Asian insurance and financial markets ensure that catastrophe risk is underwritten and managed effectively.
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Edited By Various
A reference title on the ongoing synthesis of traditional techniques and financial risk management.
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Edited By Bernd Scherer
A new multi-author volume that provides a complete and non-technical presentation on all the very latest asset and liability management issues and techniques required to stay ahead of the curve in today’s volatile climate.
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By Peter B. Nowell
Accessible to investors at all levels, this is a detailed market overview covering everything from pricing and legal issues to market practices and common pitfalls in dealing with asset-backed credit derivatives (ABCDs).
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Edited By Steve Waygood
Capital Market Campaigning examines the huge growth in capital market campaigning and assesses the threats posed to companies and their investors. For the first time, you can read in detail about the full impact of such campaigns, and identify what risk mitigation strategies can be deployed by your company if it is targeted.
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Edited By Eugene N. Gurenko
Including the latest invaluable insights into catastrophe reinsurance, this book provides you with a wealth of risk management expertise gained from many of the largest catastrophe risk transfer programmes worldwide.
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Edited By Lester G. Telser
An illustrated anthology of classic writings encapsulating the ’best of the best’ writings on the futures markets.
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Edited By Robert S. Dischel
Provides a highly accessible and complete coverage of weather risk management as seen from the perspective of practitioners, consultants and academics.
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Edited By Jörn Rank
With the use of copulas becoming increasingly important in finance, Copulas provides a varied perspective of their usage within the field of financial risk management and derivative pricing.
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Edited By Christopher L. Culp and Merton H. Miller
An edited collection addressing key issues in the theory and practice of corporate hedging with the MG debacle as the focal point.
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Edited By Gregory W. Brown and Donald H. Chew
An invaluable reference tool that is structured to demonstrate and explore the interaction of business and financial risk, and how risk management enhances shareholder firm value
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By Thomas-Olivier Léautier
This book provides you with practical, theoretically sound answers to questions that chief risk officers are typically asking. Written to be easily understood by managers, you will be brought a fresh perspective on risk management. The focus of the book is exclusively on value creation in real-life situations, integrating best-in-class academic theory and practice.