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Integrated Risk Management: Techniques and Strategies for Managing Corporate Risk

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ISBN-10: 0071358617

ISBN-13: 9780071358613

Edition: 2000

Authors: Neil Doherty

List price: $70.00
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This volume combines two notions of risk management, insurance and financial, to develop solutions for risk environments. It goes beyond hedging strategies to examine leveraging, post-loss financing, contingent financing and diversification.
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Book details

List price: $70.00
Copyright year: 2000
Publisher: McGraw-Hill Companies, The
Publication date: 3/27/2000
Binding: Hardcover
Pages: 646
Size: 6.50" wide x 9.75" long x 1.50" tall
Weight: 2.244
Language: English

Background Analysis
The Convergence of Insurance Risk Management and Financial Risk Management
Risk and Utility: Economic Concepts and Decision Rules
Moral Hazard and Adverse Selection
Portfolio theory and Risk Management
Capital Market Theory
Deriavatives and Options
Why Is Risk Costly to Firms?
Risk Management Strategy: Duality and Globality
Post-loss Investment Decisions and the Measurement of Loss
Post-Loss financing: Fundability and Dysfunctional Investment
Post-Loss Financing: Liquidity and Debt Renegotiation
Contingent Financing
Contingent Leverage Strategies and Hybrid Debt
Hedging and Insurance
Organizational Form and Risk Management: Limited Liability
A Case Study: The Securitization of Catastrophe Risk
Conclusion
References
Appendix
Index
Table of Contents provided by Publisher. All Rights Reserved.