Advances in Operational Risk (2nd ed)
Firm-wide Issues for Financial Institutions (Second Edition)
| Publication Date | June 2003 |
|---|---|
| Publisher | Risk Books |
| Product Type | Book |
| Pages | 272 |
| ISBN Number | 1904339166 |
| Product Code | RIS00305 |
Buy this product or for assistance call +44 20 7060 7474
Summary
- Discusses key topics including acquisition and merger risk, reputation risk, e-commerce risk, compliance issues as well as the lessons that can be learnt from non-financial firms
- Reflecting the major developments that have occurred within operational risk practices, this completely updated edition will help to ensure that your systems comply with the very latest regulatory changes
- Presents you with the most recent regulatory developments and progress including changes to Basel II and responses to it; the Basel Committee's 'Quantitative Impact Study III' as well as new chapters on Moody's regulatory requirements
- Offers both qualitative and quantitative approaches from all quarters including respected industry participants, regulators, industry bodies and academics active in the area of operational risk
Content
- Introduction: Operational Risk Management: New Disciplines, New Opportunities
- Peyman Mestchian of SAS UK
- Managing Operational Risk
- 1. Operational Risk Management: The Solution is in the Problem
- Peyman Mestchian of SAS UK
- 2. Managing Operational Risk
- Robert Hbner, Mark Laycock and Fred Peemller of Deutsche Bank AG
- 3. New Trends in Operational Risk Insurance for Banks
- Brendon Young of ORRF and Simon Ashby of FSA
- 4. Operational Risk in Bank Acquisitions: A Real Options Approach to Valuing Managerial Flexibility
- Hemantha S. B. Herath of University of Northern British Columbia and John S. Jahera Jr of Auburn University
- 5. How to Introduce an Effective Operational Risk Management Framework
- Roland Kennett of BNP Paribas
- 1. Operational Risk Management: The Solution is in the Problem
- Risk Analysis, Identification & Modelling
- 6. Operational Risk Capital Allocation and Integration of Risks
- Elena A. Medova of University of Cambridge
- 7. Developing an Operational VAR Model using EVT
- Marcelo Cruz of RiskMaths
- 8. The Use of Reliability Theory in Measuring Operational Risk
- Patrick Mc Connell of Henley Management College
- 9. Model Selection for Operational Risk
- Michel Crouhy of CIBC, Dan Galai of Hebrew University and Robert Mark of Black Diamond
- 10. Model Error in Enterprise-wide Risk Management: Insurance Policies with Guarantees
- Andrea Consiglio of University of Cyprus and University of Palermo and Stavros A. Zenios of University of Cyprus and The Wharton School
- 6. Operational Risk Capital Allocation and Integration of Risks
- Practical Implementation
- 11. Building and Running an Operational Loss Database
- John Thirlwell of ORRF and BBA Global Operational Loss Database
- 12. Reputational Risk
- Peter Schofield of American Express Corporate Audit
- 13. Corporate Reputation: Not worth Risking
- Knowledge@Wharton in association with Aon
- 14. Moody's Analytical Framework for Operational Risk Management of Banks
- Brendon Young of Moody's Investors Service Limited
- 15. from Operational Risk to Operational Excellence
- Barbara Dbeli of Swiss National Bank, Markus Leippold of University of Zurich and Paolo Vanini of University of Southern Switzerland and Zurich Cantonal Bank
- 16. The Legal and Regulatory View of Operational Risk
- Dermot Turing of Clifford Chance LLP
- 11. Building and Running an Operational Loss Database
Delivery Details
PRINT/CD-ROM:UK 3-5 days; Europe, USA & Canada 5-7 days ; RoW 6-10 days
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