Risk Management, Strategic Thinking and Leadership in the Financial Services Industry: A Proactive Approach to Strategic Thinking: Contributions to Management Science
Editat de Hasan Dinçer, Ümit Hacioğluen Limba Engleză Hardback – 28 dec 2016
Toate formatele și edițiile | Preț | Express |
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Paperback (1) | 933.53 lei 43-57 zile | |
Springer International Publishing – 7 iul 2018 | 933.53 lei 43-57 zile | |
Hardback (1) | 939.58 lei 43-57 zile | |
Springer International Publishing – 28 dec 2016 | 939.58 lei 43-57 zile |
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Specificații
ISBN-13: 9783319471716
ISBN-10: 3319471716
Pagini: 402
Ilustrații: XV, 386 p. 51 illus., 37 illus. in color.
Dimensiuni: 155 x 235 x 24 mm
Greutate: 0.74 kg
Ediția:1st ed. 2017
Editura: Springer International Publishing
Colecția Springer
Seria Contributions to Management Science
Locul publicării:Cham, Switzerland
ISBN-10: 3319471716
Pagini: 402
Ilustrații: XV, 386 p. 51 illus., 37 illus. in color.
Dimensiuni: 155 x 235 x 24 mm
Greutate: 0.74 kg
Ediția:1st ed. 2017
Editura: Springer International Publishing
Colecția Springer
Seria Contributions to Management Science
Locul publicării:Cham, Switzerland
Cuprins
Section I. Economic Outlook and Expectations for the Financial Services Industry.- Chapter 1. Global Economic Outlook.- Chapter 2. Sustainable and Inclusive Finance in Turkey.- Chapter 3. Monetary Policy Divergence and Central Banking in the New Era.- Chapter 4. In Looking into the Foreign Exchange Risk Management.- Chapter 5. The Link between Dollarization and Its Determinants in Turkey.- Chapter 6.
Enhancing the Risk Management Functions in Banking: Capital Allocation and Banking Regulations.- Section II.- Managing Risks in Capital Markets.- Chapter 7. The Calibration of Market Risk Measures During Period Of Economic Downturn: Market Risks And Measures.- Chapter 8. Computation of operational value at risk using the Severity Distribution Model based on Bayesian Method with Gibbs Sampler.- Chapter 9. Liquidity Risk and Optimal Redemption Policies for Illiquid Investments.- Chapter 10. Credit Derivatives, their Risks and Role in Global Financial Crisis.- Chapter 11. An Approach to Measure Financial Risk Relative Indices: a Case Study of Indonesian Insurance Companies.- Section III. Volatility, Hedging and Strategy in Risky Environment.- Chapter 12. Extreme Value Theory in Finance: A Way to Forecast Unexpected Circumstances.- Chapter 13.- Value at Risk Performance of Emerging Market Equity Portfolios during the Fed’s Tapering.- Chapter 14. Jumps and earnings announcement: Empirical evidence from Emerging Markets using High Frequency Data.- Chapter 15.Hedging Scenarios Under Competition: Exploring the Impact of Competitors’ Hedging Practices.- Chapter 16. Option Strategies and Exotic Options: Tools for Hedging or Source of Financial Instability?.- Section IV. Risk-Based Audit and the Structured Finance.- Chapter 17. Risk Based Internal Audit.- Chapter 18. Recent Financial Crisis and the Structured Finance: Accounting Perspective for Future.- Chapter 19. Compliance and Reporting Trends: Essential Strategies.- Chapter 20. Developing a Risk ManagementFramework and Risk Assessment for Non-profit Organizations: A Case Study.- Section IV. Culture and Leadership in Risk Management.- Chapter 21. Giving Risk Management Culture a Role in Strategic Planning.- Chapter 22. Agile Intrapreneurship in Volatile Business Environment: Changing Roles of Financial Managers and Risk Takers According to Schumpeterian Approach.- Chapter 23. Emerging Trends in the Post-Regulatory Environment: The Importance of Instilling Trust.- Chapter 24. The Effect of National Culture on Corporate Financial Decisions.- Chapter 25. Contemporary Leadership Styles and Schumpeterian Creative Destruction in Volatile Business Environment.
Textul de pe ultima copertă
This book presents a broad overview of risk management in the banking industry, with a special focus on strategic thinking and decision-making. It reveals the broader context behind decision models and approaches to risk management in the financial industry, linking the regulatory landscape for capital management and risk to strategic thinking, together with behavioral and cultural assessments.
Caracteristici
Enables the reader to better understand the risk management rationales Provides decision models for professionals working in the risk management sector Highlights strategic management options for global financial institutions