Risk models, like all tools that describe and predict behaviors, possess strengths and flaws that can yield consequences both intended and unintended. In this collection of original essays, finance professionals and professors from around the world examine the assumptions and expectations that underlie both financial risk models and the practices and institutions they have engendered. Contributors analyze and evaluate current systems while summarizing our understanding of certain types of risk and describing emerging trends. Subjects range from risk reporting and risk forecasting to enterprise risk management and the effect of behavioral finance on compensation systems. Encouraging practitioners and the academic community to look at risk as it hasn't been looked at before, this book seeks to encourage critical thinking and innovation.
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Book Description EMERALD, 2016. Hardback. Book Condition: NEW. 9780120884384 This listing is a new book, a title currently in-print which we order directly and immediately from the publisher. Print on Demand title, produced to the highest standard, and there would be a delay in dispatch of around 15 working days. Bookseller Inventory # HTANDREE01048021
Book Description Academic Press, 2005. Hardcover. Book Condition: New. 1. Bookseller Inventory # DADAX0120884380
Book Description Emerald Group Publishing Limited, 2005. Hardcover. Book Condition: New. book. Bookseller Inventory # 0120884380
Book Description Academic Press, 2005. Hardcover. Book Condition: New. Bookseller Inventory # SONG0120884380
Book Description Emerald Group Pub Ltd, 2006. Hardcover. Book Condition: Brand New. 1st edition. 739 pages. 9.25x7.50x1.50 inches. In Stock. Bookseller Inventory # 0120884380