Risk management : challenge and opportunity /

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Bibliographic Details
Imprint:Berlin ; New York : Springer, c2000.
Description:xxvi, 415 p. : ill. ; 24 cm.
Language:English
Subject:Dufey, Gunter.
Dufey, Gunter.
Finance.
Investments.
Risk assessment.
Risk management.
Finance.
Investments.
Risk assessment.
Risk management.
Festschriften.
Format: Print Book
URL for this record:http://pi.lib.uchicago.edu/1001/cat/bib/4314286
Hidden Bibliographic Details
Other authors / contributors:Dufey, Gunter.
Frenkel, Michael, 1954-
Hommel, Ulrich, 1963-
Markus, Rudolf, 1966-
ISBN:354067134X (alk. paper)
Notes:A collection of 21 papers written in honor of Prof. Gunter Dufey on the occasion of his 60th birthday.
Includes bibliographical references.
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505 0 0 |t Professor Gunter Dufey's Career Contributions --  |g Pt. 1.  |t Expanding the Focus of Risk Management.  |t Does Risk Management Make Financial Markets Riskier? /  |r Ian R. Harper, Joachim G. Keller and Christian M. Pfeil.  |t The Relevance and Management of Reputation Risk in the Global Securities Industry /  |r Ingo Walter.  |t Managing Catastrophic Risk with Financial Instruments /  |r Ulrich Hommel.  |t Introducing New Risk Classes to Organized Exchanges: The Case of Electricity Derivatives /  |r Christian Geyer and Werner G. Seifert.  |t Challenges and Solutions for the Management of Longevity Risk /  |r Petra Riemer-Hommel and Thomas Trauth --  |g Pt. 2.  |t Risk Measurement Issues.  |t The Key to Risk Management: Management /  |r Adrian E. Tschoegl.  |t Market Risk: Benchmark and Standard Model /  |r Claudia Holtorf and Markus Rudolf.  |t KMV Credit Risk Modeling /  |r Florian Rehm and Markus Rudolf.  |t Value at Risk: Tool for Managing Trading Risks /  |r Wolfgang Eisele and Alois Paul Knobloch.  |t The Real Option Value of Operational and Managerial Flexibility in Global Supply Chain Networks /  |r Arnd Huchzermeier.  |t Problems of Evaluating R&D Projects as Real Options /  |r Klaus Brockhoff.  |t Financial Hedging and Banks' Assets and Liabilities Management /  |r Jack E. Wahl and Udo Broll --  |g Pt. 3.  |t Regulatory Issues.  |t Governance of Global Financial Markets: Risk of Hubris /  |r Arvind K. Jain.  |t Risk Management, Corporate Governance and the Modern Corporation /  |r Fred R. Kaen.  |t Governing the Corporate Risk Management Function: Regulatory Issues /  |r Ehrenfried Pausenberger and Frank Nassauer.  |t Statutory Regulation of the Risk-Management Function in Germany: Implementation Issues for the Non-Financial Sector /  |r Jurgen Weber and Armin Liekweg.  |t Financial Reorganization in Japan: Can Japanese Banks Survive? /  |r Mitsuru Misawa.  |t International Trade in Risky Foods: The Policies of the European Community and the World Trade Organization /  |r William James Adams --  |g Pt. 4.  |t Risk Management from an International Perspective.  |t Economic Risks of EMU /  |r Michael Frenkel and Paul McCracken.  |t Estimating the Exchange Rate Exposure of US Multinational Firms: Evidence from an Event Study Methodology /  |r Kathryn L. Dewenter, Robert C. Higgins and Timothy T. Simin.  |t Foreign-Exchange-Risk Management in German Non-Financial Corporations: An Empirical Analysis /  |r Martin Glaum. 
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