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Financial Enterprise Risk Management

Financial Enterprise Risk Management - International Series on Actuarial Science

Hardback (01 Sep 2011)

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Publisher's Synopsis

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.

About the Publisher

Cambridge University Press

Cambridge University Press dates from 1534 and is part of the University of Cambridge. We further the University's mission by disseminating knowledge in the pursuit of education, learning and research at the highest international levels of excellence.

Book information

ISBN: 9780521111645
Publisher: Cambridge University Press
Imprint: Cambridge University Press
Pub date:
DEWEY: 332.10681
DEWEY edition: 23
Language: English
Number of pages: 551
Weight: 101g
Height: 229mm
Width: 158mm
Spine width: 38mm