¡Flash Aniversario! De las 14:00 a 18:00 | Hasta 55% OFF + 3 cuotas sin interés con MP  Ver más

Enviar a
C.A.B.A., Ciudad Autónoma de Buenos Aires
0
  • argentina
  • chile
  • colombia
  • españa
  • méxico
  • perú
  • estados unidos
  • internacional

Selecciona tu país

América

Europa

Resto del mundo

portada Risk Framework Design in Practice. Getting Risk Governance and Limits Right for Financial Institutions (en Inglés)
Formato
Libro Físico
Editorial
Año
2026
Idioma
Inglés
Encuadernación
Tapa Dura
ISBN13
9781394378654

Risk Framework Design in Practice. Getting Risk Governance and Limits Right for Financial Institutions (en Inglés)

Michelle Mccarthy Beck (Autor) · Wiley · Tapa Dura

Risk Framework Design in Practice. Getting Risk Governance and Limits Right for Financial Institutions (en Inglés) - Michelle McCarthy Beck

Libro Nuevo Importado
Envío: 14 a 22 días háb.
$ 172.739$ 86.370
-50%
Costos de importación incluídos en el precio ✅
Libro Nuevo

Quedan 3 unidades

$ 86.370
Llega entre el 17 Sep y el 29 Sep a C.A.B.A., Ciudad Autónoma de Buenos Aires. Seleccionar ubicación

Reseña del libro "Risk Framework Design in Practice. Getting Risk Governance and Limits Right for Financial Institutions (en Inglés)"

A comprehensive and practical collection of tools and frameworks for risk governance at banks, insurance firms, asset managers, and other financial organizations

In Risk Framework Design in Practice: Getting Risk Governance and Limits Right for Financial Institutions, veteran portfolio and risk manager, Michelle Beck, delivers a robust and functional approach to risk governance that’s perfect for financial institution managers and executives. Beck skips the high-level bromides,  avoids narrowly considering only one type of asset class or financial institution, and instead offers practical guidance for leaders across the full scope of the industry seeking to answer critical risk management questions:

What types of risk limits are necessary? How many of them does my organization need? How should they be set? Are minimum regulatory standards sufficient to safeguard my company’s interests?

Risk Framework Design in Practice provides an effective structure for enterprise risk limits in different types of firms, including banks, asset managers, insurers, and corporate pensions. It explains how these types of firms should establish risk appetites, the essential pieces of their governance structures, and how to ensure the right information is in the right hands at the right times. It also includes:

Deep dives into the relevant limits for market, credit, and operational risks, including the implications of using alternative methods Detailed discussions of contemporary approaches to limiting economic capital, value at risk, stress tests, exposures, liquidity, concentrations, stop-losses, and drawdown limits Approaches to operational risk that avoid the expensive trap of attempting to police business efficiency, and instead focus on control strength for truly dangerous risks

Risk Framework Design in Practice is an effective resource for chief risk officers and professionals working in enterprise risk departments at banks, broker dealers, insurance companies, asset managers, and hedge funds.  Also perfect for board members at banks and insurance companies, in-house counsel at financial firms, and bank and securities regulators.

Opiniones del libro

Preguntas frecuentes sobre el libro

Todos los libros de nuestro catálogo son Originales.
El libro está escrito en Inglés.
La encuadernación de esta edición es Tapa Dura.

Preguntas y respuestas sobre el libro

¿Tienes una pregunta sobre el libro? Inicia sesión para poder agregar tu propia pregunta.

Opiniones sobre Buscalibre

Ver más opiniones de clientes