Voorschrift betreffende de voeding van de militairen der landmagt in tijd van vrede

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Publisher :
ISBN 13 :
Total Pages : pages
Book Rating : 4.:/5 (68 download)

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Book Synopsis Voorschrift betreffende de voeding van de militairen der landmagt in tijd van vrede by :

Download or read book Voorschrift betreffende de voeding van de militairen der landmagt in tijd van vrede written by and published by . This book was released on 1880 with total page pages. Available in PDF, EPUB and Kindle. Book excerpt:

Applied Bayesian Modelling

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Publisher : John Wiley & Sons
ISBN 13 : 1118895061
Total Pages : 684 pages
Book Rating : 4.1/5 (188 download)

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Book Synopsis Applied Bayesian Modelling by : Peter Congdon

Download or read book Applied Bayesian Modelling written by Peter Congdon and published by John Wiley & Sons. This book was released on 2014-06-25 with total page 684 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book provides an accessible approach to Bayesian computing and data analysis, with an emphasis on the interpretation of real data sets. Following in the tradition of the successful first edition, this book aims to make a wide range of statistical modeling applications accessible using tested code that can be readily adapted to the reader's own applications. The second edition has been thoroughly reworked and updated to take account of advances in the field. A new set of worked examples is included. The novel aspect of the first edition was the coverage of statistical modeling using WinBUGS and OPENBUGS. This feature continues in the new edition along with examples using R to broaden appeal and for completeness of coverage.

Rethinking Risk in Financial Institutions

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ISBN 13 :
Total Pages : pages
Book Rating : 4.:/5 (969 download)

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Book Synopsis Rethinking Risk in Financial Institutions by : Christopher Loh

Download or read book Rethinking Risk in Financial Institutions written by Christopher Loh and published by . This book was released on 2012 with total page pages. Available in PDF, EPUB and Kindle. Book excerpt:

Liquidity Risk Measurement and Management

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Publisher : Xlibris Corporation
ISBN 13 : 1462892450
Total Pages : 400 pages
Book Rating : 4.4/5 (628 download)

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Book Synopsis Liquidity Risk Measurement and Management by : Leonard Matz

Download or read book Liquidity Risk Measurement and Management written by Leonard Matz and published by Xlibris Corporation. This book was released on 2011-07-20 with total page 400 pages. Available in PDF, EPUB and Kindle. Book excerpt: Villains for the Great Meltdown of 2007-2008 seem plentiful. But the very concept of finding and punishing villains misses the target. Ideally, we learn from past failures. We perfect our craft. Lessons to be learned from the Great Meltdown are not just plentiful - they are also insightful. In LIQUIDITY RISK MEASUREMENT AND MANAGENT -- BASEL III AND BEYOND, Mr. Matz provides detailed, practical analysis and recommendations covering every aspect of liquidity risk measurement and management. * Examples of what went wrong are used extensively. * Best practices procedures are explained. * New regulatory guidance - both qualitative and quantitative, including Basel III - is discussed in detail.* Source material and examples from many countries are included.This is the "how to guide" for liquidity risk managers in financial institutions around the globe.

Risk, Value And Default

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Publisher : World Scientific
ISBN 13 : 9814641731
Total Pages : 166 pages
Book Rating : 4.8/5 (146 download)

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Book Synopsis Risk, Value And Default by : Oliviero Roggi

Download or read book Risk, Value And Default written by Oliviero Roggi and published by World Scientific. This book was released on 2015-07-30 with total page 166 pages. Available in PDF, EPUB and Kindle. Book excerpt: Scholars and practitioners have known for a long time that risk plays an important, indeed central, role in determining the appropriate discount rate to be used in a sophisticated valuation model. In today's world, however, the very risk of survival, especially for financial institutions, is essential to the health of the world's capital markets and their impact on the global economy.Risk, Value and Default is a vital text for understanding the interaction between enterprise risk management with corporate valuation and corporate default. The book seeks to explore the interaction between the risk of default and enterprise risk, and their joint impact on firm valuation. It aims to address the problem of how corporations should deal with risk and how they can maximize shareholder value. It also examines various conceptual ways to measure risk, thereby bridging the gap between theoretical concepts and pragmatic application.The book combines sound conceptual analytics and empirical tools to provide useful information and tangible guidelines for firms, risk managers and financial analysts and advisors. Scholars and professionals with an interest in risk management, and managers, owners, creditors and potential investors in enterprises will find Risk, Value and Default a particularly useful guide to understanding the relationship between risk generation, risk management and corporate value and default from an interdisciplinary perspective.

Rethinking Strategic Management

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Publisher : Springer Nature
ISBN 13 : 3030060144
Total Pages : 423 pages
Book Rating : 4.0/5 (3 download)

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Book Synopsis Rethinking Strategic Management by : Thomas Wunder

Download or read book Rethinking Strategic Management written by Thomas Wunder and published by Springer Nature. This book was released on 2019-09-06 with total page 423 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book offers innovative ideas and frameworks for sustainable strategizing to advance business by scaling-up its positive impact, which is so urgently needed at this time in the 21st century. It shows practitioners how to effectively deal with socio-ecological systems’ disruptions to their operating environments and play an active role in transforming markets toward a sustainable future. In short, the book demonstrates how to make business sense of sustainability, highlighting new approaches and examples that translate sustainability into strategy and action. The ultimate goal is to provide a path toward a thriving future for both business and society. This book was written for strategy practitioners and decision makers who want to understand why sustainable strategizing is important in today’s business world and are seeking actionable business knowledge they can apply in their companies. It was also written for students of management and can be used as a supplemental text to support traditional graduate and undergraduate management courses.

Rethinking Risk

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Publisher :
ISBN 13 :
Total Pages : 23 pages
Book Rating : 4.:/5 (13 download)

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Book Synopsis Rethinking Risk by : Javier Estrada

Download or read book Rethinking Risk written by Javier Estrada and published by . This book was released on 2013 with total page 23 pages. Available in PDF, EPUB and Kindle. Book excerpt: Volatility is the most widely-used measure of risk but its relevance is questionable in many settings. For long-term investors, short-term volatility is something they just have to live with and disregard as much as possible. Tail risks, however, are critical because, although rare by definition, they have a large impact on terminal wealth. Using a comprehensive sample that spans over 19 countries and 110 years, this article argues that when 1%, 5%, or 10% tail risks materialize, stocks offer long-term investors better downside protection than bonds in the form of a higher terminal wealth. In fact, stocks have both a higher upside potential and a more limited downside potential than bonds, even when tail risks strike. Hence, their higher volatility essentially is higher upside risk; that is, uncertainty about how much better, not how much worse, long-term investors are expected to fare with stocks rather than with bonds.

Risk Measures with Applications in Finance and Economics

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Publisher : MDPI
ISBN 13 : 3038974439
Total Pages : 536 pages
Book Rating : 4.0/5 (389 download)

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Book Synopsis Risk Measures with Applications in Finance and Economics by : Michael McAleer

Download or read book Risk Measures with Applications in Finance and Economics written by Michael McAleer and published by MDPI. This book was released on 2019-07-23 with total page 536 pages. Available in PDF, EPUB and Kindle. Book excerpt: Risk measures play a vital role in many subfields of economics and finance. It has been proposed that risk measures could be analysed in relation to the performance of variables extracted from empirical real-world data. For example, risk measures may help inform effective monetary and fiscal policies and, therefore, the further development of pricing models for financial assets such as equities, bonds, currencies, and derivative securities.A Special Issue of “Risk Measures with Applications in Finance and Economics” will be devoted to advancements in the mathematical and statistical development of risk measures with applications in finance and economics. This Special Issue will bring together the theory, practice and real-world applications of risk measures. This book is a collection of papers published in the Special Issue of “Risk Measures with Applications in Finance and Economics” for Sustainability in 2018.

Rethinking Risk Assessment

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Publisher : Oxford University Press
ISBN 13 : 0190286016
Total Pages : 208 pages
Book Rating : 4.1/5 (92 download)

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Book Synopsis Rethinking Risk Assessment by : John Monahan

Download or read book Rethinking Risk Assessment written by John Monahan and published by Oxford University Press. This book was released on 2001-03-01 with total page 208 pages. Available in PDF, EPUB and Kindle. Book excerpt: The presumed link between mental disorder and violence has been the driving force behind mental health law and policy for centuries. Legislatures, courts, and the public have come to expect that mental health professionals will protect them from violent acts by persons with mental disorders. Yet for three decades research has shown that clinicians' unaided assessments of "dangerousness" are barely better than chance. Rethinking Risk Assessment: The MacArthur Study of Mental Disorder and Violence tells the story of a pioneering investigation that challenges preconceptions about the frequency and nature of violence among persons with mental disorders, and suggests an innovative approach to predicting its occurrence. The authors of this massive project -- the largest ever undertaken on the topic -- demonstrate how clinicians can use a "decision tree" to identify groups of patients at very low and very high risk for violence. This dramatic new finding, and its implications for the every day clinical practice of risk assessment and risk management, is thoroughly described in this remarkable and long-anticipated volume. Taken to heart, its message will change the way clinicians, judges, and others who must deal with persons who are mentally ill and may be violent will do their work.

The Space Value of Money

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Publisher : Springer Nature
ISBN 13 : 1137594896
Total Pages : 275 pages
Book Rating : 4.1/5 (375 download)

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Book Synopsis The Space Value of Money by : Armen V. Papazian

Download or read book The Space Value of Money written by Armen V. Papazian and published by Springer Nature. This book was released on 2022-09-03 with total page 275 pages. Available in PDF, EPUB and Kindle. Book excerpt: The Space Value of Money introduces a fresh and innovative perspective on sustainability and finance. It expands our financial value framework, heretofore built around risk and time, by factoring in space, as an analytical dimension and our physical context. The proposed principle and metrics entrench our responsibility for space impact into our value equations, making finance inherently sustainable and acting as a theoretical bridge between core finance theory and the growing field of sustainable finance or ESG integration. The book offers a novel approach to value design, measurement, and creation, discussing the theoretical, mathematical, institutional, technological and data elements of the transformation. The Space Value of Money principle and metrics offer us the opportunity to adjust our financial value framework and transform human productivity in line with our sustainability targets. They also enable the design and engineering of the financial instruments that can help us address our evolutionary challenges/investment, like the transition to Net Zero. “Every once in a while, a book comes along that makes a fundamental contribution that is both profound and practical. A book that every member of the National Space Council, including the NASA Administrator and the Space Force chief of space operations should read. The Space Value of Money will be of interest to ESG and impact investors, government regulators, financial theorists, and outer space enthusiasts.” —Lt Col Peter Garretson, Senior Fellow in Defense Studies at the American Foreign Policy Council “No doubt, the pressing environmental challenges we face make the concept of the space impact of investments even more compelling.” —Dr. Pascal Blanqué, Chairman of Amundi Institute, Former Group CIO of Amundi Asset Management “The Space Value of Money brings much needed conceptual rigour, whilst further advocating the case for a new paradigm shift in financial valuation. This work gives us the lasting frameworks that aggregate impact across all spatial dimensions. Dr. Papazian culminates over ten years of research in this rich book, providing the springboard for further innovation and system implementation in this area.” —Domenico Del Re, Director, Sustainability and Climate Change, PwC “Enthralling and captivating. Papazian offers a clear, thorough, and comprehensive discussion. The Space Value of Money gives us an opportunity to reframe our thinking and to explore what is possible. A great read!” —Daud Vicary, Founding Trustee of the Responsible Finance and Investment Foundation “Armen has developed a novel way to create financial models that are better suited to dealing with the many parameters required if we are to properly consider environmental factors and sustainability in economics and finance. I have found this engaging and look forward to seeing its future use.” —Dr. Keith Carne, First Bursar, King’s College, Cambridge University

Out of Crisis

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Publisher : Routledge
ISBN 13 : 1317254910
Total Pages : 176 pages
Book Rating : 4.3/5 (172 download)

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Book Synopsis Out of Crisis by : David A. Westbrook

Download or read book Out of Crisis written by David A. Westbrook and published by Routledge. This book was released on 2015-12-03 with total page 176 pages. Available in PDF, EPUB and Kindle. Book excerpt: Former Federal Reserve chair Greenspan recently said that the risk management paradigm is broken; thus our understanding of financial regulation no longer makes sense. More generally, the current financial crisis obliges us to rethink the relationships among "financial markets" and "governments." In Out of Crisis financial analyst David Westbrook illuminates the intellectual, business, and policy errors that have led us into the present morass. Through a vivid legal and political analysis he shows how the ideologies of the right and left have distorted financial thinking and policy. Learning from these errors, the book sketches the emergence of a new understanding of risk management and bureaucratic regulation. Out of Crisis begins the tasks of rethinking the structures that constitute financial markets and exploring how such structures may be strengthened. Taking responsibility for the markets we build to do so much of our society's work, we may yet become mature capitalists.

Corporate Risk Management

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Publisher : John Wiley & Sons
ISBN 13 : 1119583152
Total Pages : 460 pages
Book Rating : 4.1/5 (195 download)

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Book Synopsis Corporate Risk Management by : Georges Dionne

Download or read book Corporate Risk Management written by Georges Dionne and published by John Wiley & Sons. This book was released on 2019-04-22 with total page 460 pages. Available in PDF, EPUB and Kindle. Book excerpt: An updated review of the theories and applications of corporate risk management After the financial crisis of 2008, issues concerning corporate risk management arose that demand new levels of oversight. Corporate Risk Management is an important guide to the topic that puts the focus on the corporate finance dimension of risk management. The author—a noted expert on the topic—presents several theoretical models appropriate for various industries and empirically verifies theoretical propositions. The book also proposes statistical modeling that can evaluate the importance of different risks and their variations according to economic cycles. The book provides an analysis of default, liquidity, and operational risks as well as the failures of LTCM, ENRON, and financial institutions that occurred during the financial crisis. The author also explores Conditional Value at Risk (CVaR), which is central to the debate on the measurement of market risk under Basel III. This important book: Includes a comprehensive review of the aspects of corporate risk management Presents statistical modeling that addresses recent risk management issues Contains an analysis of risk management failures that lead to the 2008 financial crisis Offers a must-have resource from author Georges Dionne the former editor of The Journal of Risk and Insurance Corporate Risk Management provides a modern empirical analysis of corporate risk management across industries. It is designed for use by risk management professionals, academics, and graduate students.

The Secret Pilgrim

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Publisher : Ballantine Books
ISBN 13 : 1524797626
Total Pages : 373 pages
Book Rating : 4.5/5 (247 download)

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Book Synopsis The Secret Pilgrim by : John le Carré

Download or read book The Secret Pilgrim written by John le Carré and published by Ballantine Books. This book was released on 2017-08-15 with total page 373 pages. Available in PDF, EPUB and Kindle. Book excerpt: The acclaimed novel featuring George Smiley, from the #1 New York Times bestselling author of A Legacy of Spies and The Night Manager, now an AMC miniseries The rules of the game, and of the world, have changed. Old enemies now yield to glasnost and perestroika. The killing shadows of the Cold War are flooded with light. The future is unfathomable. To train new spies for this uncertain future, one must show them the past. Enter the man called Ned, the loyal and shrewd veteran of the Circus. With the inspiration of his inscrutable mentor George Smiley, Ned thrills all as he recounts forty exhilarating years of Cold War espionage across Europe and the Far East—an electrifying, clandestine tour of honorable old knights and notorious traitors, triumph and failure, passion and hate, suspicion, sudden death, and old secrets that haunt us still. Praise for The Secret Pilgrim “Intriguing . . . magisterial . . . The many ingredients are skillfully marshaled. . . . Lucidly and elegantly controlled.”—The New York Times Book Review “Scorching . . . fascinating . . . seductive . . . a dazzler.”—Entertainment Weekly “Powerful . . . a highly absorbing tale.”—Newsday “Extraordinary.”—USA Today

Quantifying Systemic Risk

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Publisher : University of Chicago Press
ISBN 13 : 0226319288
Total Pages : 286 pages
Book Rating : 4.2/5 (263 download)

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Book Synopsis Quantifying Systemic Risk by : Joseph G. Haubrich

Download or read book Quantifying Systemic Risk written by Joseph G. Haubrich and published by University of Chicago Press. This book was released on 2013-01-24 with total page 286 pages. Available in PDF, EPUB and Kindle. Book excerpt: In the aftermath of the recent financial crisis, the federal government has pursued significant regulatory reforms, including proposals to measure and monitor systemic risk. However, there is much debate about how this might be accomplished quantitatively and objectively—or whether this is even possible. A key issue is determining the appropriate trade-offs between risk and reward from a policy and social welfare perspective given the potential negative impact of crises. One of the first books to address the challenges of measuring statistical risk from a system-wide persepective, Quantifying Systemic Risk looks at the means of measuring systemic risk and explores alternative approaches. Among the topics discussed are the challenges of tying regulations to specific quantitative measures, the effects of learning and adaptation on the evolution of the market, and the distinction between the shocks that start a crisis and the mechanisms that enable it to grow.

Credit Risk Management In and Out of the Financial Crisis

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Publisher : John Wiley & Sons
ISBN 13 : 0470622369
Total Pages : 373 pages
Book Rating : 4.4/5 (76 download)

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Book Synopsis Credit Risk Management In and Out of the Financial Crisis by : Anthony Saunders

Download or read book Credit Risk Management In and Out of the Financial Crisis written by Anthony Saunders and published by John Wiley & Sons. This book was released on 2010-04-16 with total page 373 pages. Available in PDF, EPUB and Kindle. Book excerpt: A classic book on credit risk management is updated to reflect the current economic crisis Credit Risk Management In and Out of the Financial Crisis dissects the 2007-2008 credit crisis and provides solutions for professionals looking to better manage risk through modeling and new technology. This book is a complete update to Credit Risk Measurement: New Approaches to Value at Risk and Other Paradigms, reflecting events stemming from the recent credit crisis. Authors Anthony Saunders and Linda Allen address everything from the implications of new regulations to how the new rules will change everyday activity in the finance industry. They also provide techniques for modeling-credit scoring, structural, and reduced form models-while offering sound advice for stress testing credit risk models and when to accept or reject loans. Breaks down the latest credit risk measurement and modeling techniques and simplifies many of the technical and analytical details surrounding them Concentrates on the underlying economics to objectively evaluate new models Includes new chapters on how to prevent another crisis from occurring Understanding credit risk measurement is now more important than ever. Credit Risk Management In and Out of the Financial Crisis will solidify your knowledge of this dynamic discipline.

Rethinking the BSE Crisis

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Publisher : Springer Science & Business Media
ISBN 13 : 9048195047
Total Pages : 248 pages
Book Rating : 4.0/5 (481 download)

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Book Synopsis Rethinking the BSE Crisis by : Louise Cummings

Download or read book Rethinking the BSE Crisis written by Louise Cummings and published by Springer Science & Business Media. This book was released on 2010-08-09 with total page 248 pages. Available in PDF, EPUB and Kindle. Book excerpt: In 1986, the emergence of a novel brain disease in British cattle presented a unique challenge to scientists. How that challenge was addressed has been the subject of a public inquiry and numerous academic studies conducted to date. However, none of these investigations has sought to examine the reasoning of scientists during this critical period in the public health of the UK. Using concepts and techniques in informal logic, argumentation and fallacy theory, this study reconstructs and evaluates the reasoning of scientists in the ten-year period between 1986 and 1996. Specifically, a form of presumptive reasoning is described in which extensive use is made of arguments traditionally identified as informal fallacies. In the context of the adverse epistemic conditions that confronted scientists during the BSE epidemic, these arguments were anything but fallacious, serving instead to confer a number of epistemic gains upon scientific inquiry. This book argues for a closer integration of philosophy with public health science, an integration that is exemplified by the case of scientific reasoning during the BSE affair. It will therefore be of interest to advanced students, academics, researchers and professionals in the areas of public health science and epidemiology, as well as philosophical disciplines such as informal logic, argumentation and fallacy theory and epistemology.

Global Financial Development Report 2013

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Publisher : World Bank Publications
ISBN 13 : 0821395033
Total Pages : 221 pages
Book Rating : 4.8/5 (213 download)

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Book Synopsis Global Financial Development Report 2013 by : World Bank

Download or read book Global Financial Development Report 2013 written by World Bank and published by World Bank Publications. This book was released on 2012-09-17 with total page 221 pages. Available in PDF, EPUB and Kindle. Book excerpt: How should we measure and assess financial development around the globe? Why has financial development progressed so quickly in some regions and countries while seriously lagging in other parts of the world? At what point does the financial sector become too large or too complex? What mix of banks, other financial institutions, and financial markets is the best from the broader development perspective? How to ensure healthy competition in the provision of financial services? Which policies help in supporting robust financial development, and which ones do not? And which ones help in providing people and firms with better access to finance? These are the types of questions that are addressed by this new annual publication from the World Bank Group, the Global Financial Development Report 2013. The main theme of this inaugural report is Rethinking the Role of the State in Finance. Launched exactly four years after the Lehman Brothers failure, the report uses the experience of the global financial crisis to re-examine a basic question: what is the proper role of the state in achieving sustainable financial development? The crisis has challenged conventional thinking on the role of the state, and on financial sector policies. It has led to much debate on how best to achieve sustainable development. Among other things, the crisis has revived the notion that direct state intervention in the financial sector can help maintain stability, drive growth, and create jobs. The report examines this notion as well as the evidence of potentially harmful effects of some forms of the state's interventions. It also navigates through ideological divides and doctrinaire positions and delivers relevant, rigorous policy analyses and advice. Building on new data, research, and a breadth of country experience, the report provides a unique contribution to financial sector policy debates. The first part defines, benchmarks, and monitors different dimensions of financial development in countries around the world. The second part covers the various aspects of the state's involvement in the financial sector. Written for a broad audience, the report offers accessible, practical, timely, and actionable policy recommendations. It will be particularly relevant for country officials working on financial sector issues, such as policymakers and staff of central banks, ministries of finance, and financial regulation agencies. It will also be relevant to non-governmental organizations, academics and students, think tanks, private sector participants, and donors, along with the development community more generally.