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OverviewFull Product DetailsAuthor: Hongmu LeePublisher: Springer Verlag, Singapore Imprint: Springer Verlag, Singapore Edition: 1st ed. 2021 Weight: 0.421kg ISBN: 9789811634703ISBN 10: 981163470 Pages: 248 Publication Date: 27 November 2022 Audience: Professional and scholarly , Professional & Vocational Format: Paperback Publisher's Status: Active Availability: Manufactured on demand We will order this item for you from a manufactured on demand supplier. Language: English Table of ContentsPart 1The general theory of risk management.- 1 The concept of risk and corporate risk.- 2 Enterprise risk management and related fields.- 3 Accounting fraud and internal control.- 4 COSO ERM framework.- 5 ISO RM framework.- 6 Risk assessment.- 7 Value at risk.- Part 2 Risk Financing.- 8 Risk treatment and ART.- 9 Limitations of insurance as a risk financing tool.- 10 Captive insurers and finite insurance.- 11 Contingent capital.- 12 Securitization and insurance-linked securities.- 13 Insurance-linked security types.- 14 Derivatives and insurance derivatives.- 15 Weather derivatives trading.- 16 Risk management in China.- 17 Risk management in South Korea.ReviewsAuthor InformationHongmu Lee is a professor of risk management and insurance at Waseda University, Tokyo, where he received his Ph.D. He is also the president of the Insurance and Risk Management Institute of Waseda University. The institute aims to carry out research internationally in cooperation with industry and the academic world on insurance and risk management. He has authored several books and articles in academic and professional journals, mainly in Korea and Japan. Tab Content 6Author Website:Countries AvailableAll regions |