Catastrophic Risk: Analysis and Management: 320

Catastrophic Risk: Analysis and Management: 320 book cover

Catastrophic Risk: Analysis and Management: 320

Author(s): Erik Banks (Author)

  • Publisher: Wiley
  • Publication Date: 18 Mar. 2005
  • Edition: 1st
  • Language: English
  • Print length: 192 pages
  • ISBN-10: 0470012366
  • ISBN-13: 9780470012369

Book Description

Catastrophic risk is one of the most significant and challenging areas of corporate risk management. Analyze this risk for your company with Catastrophic Risk and make sure you have sufficient resources to absorb losses and avoid financial distress.

The first comprehensive volume to address this topic from a financial perspective, this book is a guide to the worst financial risks threatening companies and industries today. Author Eric Banks begins with a consideration of ?catastrophe? and its mplications, looks at the state of actuarial and financial modelling of catastrophe risks, and discusses the creation of a risk management framework that will enable the efficient and secure management of exposure. Catastrophic Risk is essential reading if you’re a corporate treasurer, CFO, or insurance/financial risk manager responsible for corporate risk management. Order your copy today.

Editorial Reviews

Review

“…useful to have at hand…Risk, of whatever nature, remains something that needs to be addressed at all times.” (Accounting Technician, August 2005)

“It is a beautifully clear book…enlightening… one which turns a complex and potentially off-putting subject into a remarkably interesting one.” (Strategic Risk, June 2007)

From the Inside Flap

The book is divided into two parts:

Part I: Identification and Analysis of Catastrophic Risk

Part I of the text introduces the topic of catastrophe risk management by examining general facets of financial and operating risk and defining the unique qualities of high severity/low frequency risks. Several chapters are then devoted to the risk identification process, with a particular focus on natural and man-made perils and regional vulnerabilities. Methods of quantifying catastrophe risks, including the development of a multi-stage modelling process, are then explored.

Part II: Management of Catastrophic Risk

Part II of the text builds on the identification and modelling phases by introducing a general framework for the management of catastrophe risks. Specific chapters are devoted to the implementation of pre- and post-loss financing solutions, including insurance and reinsurance, catastrophe bonds and contingent capital, catastrophe derivatives, and public management and financing. The book concludes with a discussion of critical issues and future challenges related to effective management of catastrophe risks.

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