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Financial Enterprise Risk Management

Part of the International Series on Actuarial Science series
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Financial Enterprise Risk Management provides all the tools needed to build and maintain a comprehensive ERM framework.

As well as outlining the construction of such frameworks, it discusses the internal and external contexts within which risk management must be carried out.

It also covers a range of qualitative and quantitative techniques that can be used to identify, model and measure risks, and describes a range of risk mitigation strategies.

Over 100 diagrams are used to help describe the range of approaches available, and risk management issues are further highlighted by various case studies.

A number of proprietary, advisory and mandatory risk management frameworks are also discussed, including Solvency II, Basel III and ISO 31000:2009.

This book is an excellent resource for actuarial students studying for examinations, for risk management practitioners and for any academic looking for an up-to-date reference to current techniques.

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Product Details
Cambridge University Press
1139635484 / 9781139635486
eBook (EPUB)
01/09/2011
English
474 pages
Copy: 10%; print: 10%