Author: Gunther Kraut
Publisher: VVW GmbH
ISBN: 3862983269
Category : Business & Economics
Languages : en
Pages : 137
Book Description
Das Buch erscheint in englischer Sprache. Das Buch widmet sich verschiedenen aktuellen Themen der Lebensversicherung, insbesondere dem Management von extremen Mortalitätsrisiken und dem Versicherungsnehmerverhalten. Am Beispiel illiquider Märkte für Katastrophenrisiken wird ein axiomatisch hergeleiteter Mechanismus entwickelt, der die Poolanteilsbestimmung in Risikotragegemeinschaften von mehreren Versicherungsunternehmen auf eindeutig bestimmte Weise fairer macht. Ein solcher Mechanismus könnte in bestimmten Marktsituationen dazu beitragen, vorhandene Marktkapazitäten effizienter zu nutzen und die sogenannte Grenze der Versicherbarkeit auszuweiten. Des Weiteren wird qualitativ untersucht, wie die Entwicklung solcher neuartigen Risikotransfertechniken durch die Versicherungsregulierung befördert oder behindert werden kann. Am Beispiel des Aufsichtsregimes Solvency II wird als Resultat dieser Analyse ein generisches internes Partialmodell entwickelt, das die Anerkennung gerade nicht-proportionaler Risikotransferinstrumente erleichtert und - wo sinnvoll - durch eine entsprechende Anreizsetzung erstrebenswert macht. Nach einem thematischen Sprung in die Welt der Sparprodukte wird zuletzt das dynamische Stornoverhalten von Versicherungsnehmern für sogenannte Variable-Annuity-Produkte empirisch untersucht. Auf verhaltensökonomischer Theorie aufbauend können Aussagen zur Finanzrationalität der Versicherungsnehmer gewonnen werden, die auch generelle Rückschlüsse auf die Bewertung von in Finanzprodukte eingebetteten Optionen durch Individuen zulassen. Durch diese breite thematische Aufstellung richtet sich das Buch sowohl an die Wissenschaft als auch an die Praxis. Insbesondere für Produktentwickler, Risikomanager und Aufseher sollten die gewonnenen Erkenntnisse von direktem Nutzen sein.
Essays on Current Topics in Life Insurance
Author: Gunther Kraut
Publisher: VVW GmbH
ISBN: 3862983269
Category : Business & Economics
Languages : en
Pages : 137
Book Description
Das Buch erscheint in englischer Sprache. Das Buch widmet sich verschiedenen aktuellen Themen der Lebensversicherung, insbesondere dem Management von extremen Mortalitätsrisiken und dem Versicherungsnehmerverhalten. Am Beispiel illiquider Märkte für Katastrophenrisiken wird ein axiomatisch hergeleiteter Mechanismus entwickelt, der die Poolanteilsbestimmung in Risikotragegemeinschaften von mehreren Versicherungsunternehmen auf eindeutig bestimmte Weise fairer macht. Ein solcher Mechanismus könnte in bestimmten Marktsituationen dazu beitragen, vorhandene Marktkapazitäten effizienter zu nutzen und die sogenannte Grenze der Versicherbarkeit auszuweiten. Des Weiteren wird qualitativ untersucht, wie die Entwicklung solcher neuartigen Risikotransfertechniken durch die Versicherungsregulierung befördert oder behindert werden kann. Am Beispiel des Aufsichtsregimes Solvency II wird als Resultat dieser Analyse ein generisches internes Partialmodell entwickelt, das die Anerkennung gerade nicht-proportionaler Risikotransferinstrumente erleichtert und - wo sinnvoll - durch eine entsprechende Anreizsetzung erstrebenswert macht. Nach einem thematischen Sprung in die Welt der Sparprodukte wird zuletzt das dynamische Stornoverhalten von Versicherungsnehmern für sogenannte Variable-Annuity-Produkte empirisch untersucht. Auf verhaltensökonomischer Theorie aufbauend können Aussagen zur Finanzrationalität der Versicherungsnehmer gewonnen werden, die auch generelle Rückschlüsse auf die Bewertung von in Finanzprodukte eingebetteten Optionen durch Individuen zulassen. Durch diese breite thematische Aufstellung richtet sich das Buch sowohl an die Wissenschaft als auch an die Praxis. Insbesondere für Produktentwickler, Risikomanager und Aufseher sollten die gewonnenen Erkenntnisse von direktem Nutzen sein.
Publisher: VVW GmbH
ISBN: 3862983269
Category : Business & Economics
Languages : en
Pages : 137
Book Description
Das Buch erscheint in englischer Sprache. Das Buch widmet sich verschiedenen aktuellen Themen der Lebensversicherung, insbesondere dem Management von extremen Mortalitätsrisiken und dem Versicherungsnehmerverhalten. Am Beispiel illiquider Märkte für Katastrophenrisiken wird ein axiomatisch hergeleiteter Mechanismus entwickelt, der die Poolanteilsbestimmung in Risikotragegemeinschaften von mehreren Versicherungsunternehmen auf eindeutig bestimmte Weise fairer macht. Ein solcher Mechanismus könnte in bestimmten Marktsituationen dazu beitragen, vorhandene Marktkapazitäten effizienter zu nutzen und die sogenannte Grenze der Versicherbarkeit auszuweiten. Des Weiteren wird qualitativ untersucht, wie die Entwicklung solcher neuartigen Risikotransfertechniken durch die Versicherungsregulierung befördert oder behindert werden kann. Am Beispiel des Aufsichtsregimes Solvency II wird als Resultat dieser Analyse ein generisches internes Partialmodell entwickelt, das die Anerkennung gerade nicht-proportionaler Risikotransferinstrumente erleichtert und - wo sinnvoll - durch eine entsprechende Anreizsetzung erstrebenswert macht. Nach einem thematischen Sprung in die Welt der Sparprodukte wird zuletzt das dynamische Stornoverhalten von Versicherungsnehmern für sogenannte Variable-Annuity-Produkte empirisch untersucht. Auf verhaltensökonomischer Theorie aufbauend können Aussagen zur Finanzrationalität der Versicherungsnehmer gewonnen werden, die auch generelle Rückschlüsse auf die Bewertung von in Finanzprodukte eingebetteten Optionen durch Individuen zulassen. Durch diese breite thematische Aufstellung richtet sich das Buch sowohl an die Wissenschaft als auch an die Praxis. Insbesondere für Produktentwickler, Risikomanager und Aufseher sollten die gewonnenen Erkenntnisse von direktem Nutzen sein.
Research, Practices, and Innovations in Global Risk and Contingency Management
Author: Strang, Kenneth David
Publisher: IGI Global
ISBN: 152254755X
Category : Business & Economics
Languages : en
Pages : 458
Book Description
Risk management is a vital concern in any organization. In order to succeed in the competitive modern business environment, the decision-making process must be effectively governed and managed. Research, Practices, and Innovations in Global Risk and Contingency Management is a critical scholarly resource that provides an all-encompassing holistic discussion of risk management and perception, while giving readers innovations on empirical risk-contingency management research and case studies. Featuring coverage on a broad range of topics, such as contingency planning, project management, and risk mitigation, this book is geared towards academicians, practitioners, and researchers seeking current research on risk and contingency management issues.
Publisher: IGI Global
ISBN: 152254755X
Category : Business & Economics
Languages : en
Pages : 458
Book Description
Risk management is a vital concern in any organization. In order to succeed in the competitive modern business environment, the decision-making process must be effectively governed and managed. Research, Practices, and Innovations in Global Risk and Contingency Management is a critical scholarly resource that provides an all-encompassing holistic discussion of risk management and perception, while giving readers innovations on empirical risk-contingency management research and case studies. Featuring coverage on a broad range of topics, such as contingency planning, project management, and risk mitigation, this book is geared towards academicians, practitioners, and researchers seeking current research on risk and contingency management issues.
Risk Management, 2 Volume Set
Author: Gerald Mars
Publisher: Routledge
ISBN: 1000398099
Category : Business & Economics
Languages : en
Pages : 1194
Book Description
First published in 2000, Risk Management is a two volume set, comprised of the most significant and influential articles by the leading authorities in the studies of risk management. The volumes includes a full-length introduction from the editor, an internationally recognized expert, and provides an authoritative guide to the selection of essays chosen, and to the wider field itself. The collections of essays are both international and interdisciplinary in scope and provide an entry point for investigating the myriad of study within the discipline.
Publisher: Routledge
ISBN: 1000398099
Category : Business & Economics
Languages : en
Pages : 1194
Book Description
First published in 2000, Risk Management is a two volume set, comprised of the most significant and influential articles by the leading authorities in the studies of risk management. The volumes includes a full-length introduction from the editor, an internationally recognized expert, and provides an authoritative guide to the selection of essays chosen, and to the wider field itself. The collections of essays are both international and interdisciplinary in scope and provide an entry point for investigating the myriad of study within the discipline.
Risk Management
Author: Gerald Mars
Publisher: Routledge
ISBN: 1000001512
Category : Social Science
Languages : en
Pages : 588
Book Description
First published in 2000, Risk Management is a two volume set, comprised of the most significant and influential articles by the leading authorities in the studies of risk management. The volumes includes a full-length introduction from the editor, an internationally recognized expert, and provides an authoritative guide to the selection of essays chosen, and to the wider field itself. The collections of essays are both international and interdisciplinary in scope and provide an entry point for investigating the myriad of study within the discipline.
Publisher: Routledge
ISBN: 1000001512
Category : Social Science
Languages : en
Pages : 588
Book Description
First published in 2000, Risk Management is a two volume set, comprised of the most significant and influential articles by the leading authorities in the studies of risk management. The volumes includes a full-length introduction from the editor, an internationally recognized expert, and provides an authoritative guide to the selection of essays chosen, and to the wider field itself. The collections of essays are both international and interdisciplinary in scope and provide an entry point for investigating the myriad of study within the discipline.
Riskwork
Author: Michael Power
Publisher: Oxford University Press
ISBN: 0198753225
Category : Business & Economics
Languages : en
Pages : 322
Book Description
This collection of essays deals with the situated management of risk in a wide variety of organizational settings - aviation, mental health, railway project management, energy, toy manufacture, financial services, chemicals regulation, and NGOs. Each chapter connects the analysis of risk studies with critical themes in organization studies more generally based on access to, and observations of, actors in the field. The emphasis in these contributions is upon the variety of ways in which organizational actors, in combination with a range of material technologies and artefacts, such as safety reporting systems, risk maps and key risk indicators, accomplish and make sense of the normal work of managing risk - riskwork. In contrast to a preoccupation with disasters and accidents after the event, the volume as whole is focused on the situationally specific character of routine risk management work. It emerges that this riskwork is highly varied, entangled with material artefacts which represent and construct risks and, importantly, is not confined to formal risk management departments or personnel. Each chapter suggest that the distributed nature of this riskwork lives uneasily with formalized risk management protocols and accountability requirements. In addition, riskwork as an organizational process makes contested issues of identity and values readily visible. These 'back stage/back office' encounters with risk are revealed as being as much emotional as they are rationally calculative. Overall, the collection combines constructivist sensibilities about risk objects with a micro-sociological orientation to the study of organizations.
Publisher: Oxford University Press
ISBN: 0198753225
Category : Business & Economics
Languages : en
Pages : 322
Book Description
This collection of essays deals with the situated management of risk in a wide variety of organizational settings - aviation, mental health, railway project management, energy, toy manufacture, financial services, chemicals regulation, and NGOs. Each chapter connects the analysis of risk studies with critical themes in organization studies more generally based on access to, and observations of, actors in the field. The emphasis in these contributions is upon the variety of ways in which organizational actors, in combination with a range of material technologies and artefacts, such as safety reporting systems, risk maps and key risk indicators, accomplish and make sense of the normal work of managing risk - riskwork. In contrast to a preoccupation with disasters and accidents after the event, the volume as whole is focused on the situationally specific character of routine risk management work. It emerges that this riskwork is highly varied, entangled with material artefacts which represent and construct risks and, importantly, is not confined to formal risk management departments or personnel. Each chapter suggest that the distributed nature of this riskwork lives uneasily with formalized risk management protocols and accountability requirements. In addition, riskwork as an organizational process makes contested issues of identity and values readily visible. These 'back stage/back office' encounters with risk are revealed as being as much emotional as they are rationally calculative. Overall, the collection combines constructivist sensibilities about risk objects with a micro-sociological orientation to the study of organizations.
Proceedings of the 9th International Conference on Financial Innovation and Economic Development (ICFIED 2024)
Author: Khaled Elbagory
Publisher: Springer Nature
ISBN: 9464634081
Category :
Languages : en
Pages : 725
Book Description
Publisher: Springer Nature
ISBN: 9464634081
Category :
Languages : en
Pages : 725
Book Description
Risk Governance
Author: Ortwin Renn
Publisher: Taylor & Francis
ISBN: 1136557970
Category : Business & Economics
Languages : en
Pages : 467
Book Description
Risk Governance is a tour de force. Every risk manager, every risk analyst, every risk researcher must read this book - it is the demarcation point for all further advances in risk policy and risk research. Renn provides authoritative guidance on how to manage risks based on a definitive synthesis of the research literature. The skill with which he builds practical recommendations from solid science is unprecedented. Thomas Dietz, Director, Environmental Science and Policy Program, Michigan State University, USA A masterpiece of new knowledge and wisdom with illustrative examples of tested applications to realworld cases. The book is recommendable also to interested students in different disciplines as a timely textbook on 'risk beyond risk'. Norio Okada, Full Professor and Director at the Disaster Prevention Research Institute (DPRI), Kyoto University, Japan There are classic environmental works such as The Tragedy of the Commons by Hardin, Risk Society by Beck, The Theory of Communicative Action by Habermas, and the seminal volumes by Ostrom on governing the commons. Renns book fits right into this series of important milestones of environmental studies. Jochen Jaeger, Professor at Concordia University, Montreal, Canada Risk Governance provides a valuable survey of the whole field of risk and demonstrates how scientific, economic, political and civil society actors can participate in inclusive risk governance. Jobst Conrad, Senior Scientist, Social Science Research Center Berlin, Germany Renn offers a remarkably fair-minded and systematic approach to bringing together the diverse fields that have something to say about 'risk'. Risk Governance moves us along the path from the noisy, formative stage of thinking about risk to one with a stronger empirical, theoretical, and analytical foundation. Baruch Fischhoff, PhD, Howard Heinz University Professor, Carnegie Mellon University, Pittsburgh, USA 'I cannot describe how impressed I am at the breadth and coherence of Renn's career's work! Written with remarkable clarity and minimal technical jargon... [this] should be required reading in risk courses!' John Graham, former director of the Harvard Risk Center and former deputy director of the Office of Budget and Management of the Unites States Administration This book, for the first time, brings together and updates the groundbreaking work of renowned risk theorist and researcher Ortwin Renn, integrating the major disciplinary concepts of risk in the social, engineering and natural sciences. The book opens with the context of risk handling before flowing through the core topics of assessment, evaluation, perception, management and communication, culminating in a look at the transition from risk management to risk governance and a glimpse at a new understanding of risk in (post)modern societies.
Publisher: Taylor & Francis
ISBN: 1136557970
Category : Business & Economics
Languages : en
Pages : 467
Book Description
Risk Governance is a tour de force. Every risk manager, every risk analyst, every risk researcher must read this book - it is the demarcation point for all further advances in risk policy and risk research. Renn provides authoritative guidance on how to manage risks based on a definitive synthesis of the research literature. The skill with which he builds practical recommendations from solid science is unprecedented. Thomas Dietz, Director, Environmental Science and Policy Program, Michigan State University, USA A masterpiece of new knowledge and wisdom with illustrative examples of tested applications to realworld cases. The book is recommendable also to interested students in different disciplines as a timely textbook on 'risk beyond risk'. Norio Okada, Full Professor and Director at the Disaster Prevention Research Institute (DPRI), Kyoto University, Japan There are classic environmental works such as The Tragedy of the Commons by Hardin, Risk Society by Beck, The Theory of Communicative Action by Habermas, and the seminal volumes by Ostrom on governing the commons. Renns book fits right into this series of important milestones of environmental studies. Jochen Jaeger, Professor at Concordia University, Montreal, Canada Risk Governance provides a valuable survey of the whole field of risk and demonstrates how scientific, economic, political and civil society actors can participate in inclusive risk governance. Jobst Conrad, Senior Scientist, Social Science Research Center Berlin, Germany Renn offers a remarkably fair-minded and systematic approach to bringing together the diverse fields that have something to say about 'risk'. Risk Governance moves us along the path from the noisy, formative stage of thinking about risk to one with a stronger empirical, theoretical, and analytical foundation. Baruch Fischhoff, PhD, Howard Heinz University Professor, Carnegie Mellon University, Pittsburgh, USA 'I cannot describe how impressed I am at the breadth and coherence of Renn's career's work! Written with remarkable clarity and minimal technical jargon... [this] should be required reading in risk courses!' John Graham, former director of the Harvard Risk Center and former deputy director of the Office of Budget and Management of the Unites States Administration This book, for the first time, brings together and updates the groundbreaking work of renowned risk theorist and researcher Ortwin Renn, integrating the major disciplinary concepts of risk in the social, engineering and natural sciences. The book opens with the context of risk handling before flowing through the core topics of assessment, evaluation, perception, management and communication, culminating in a look at the transition from risk management to risk governance and a glimpse at a new understanding of risk in (post)modern societies.
Dissertation Abstracts International
Author:
Publisher:
ISBN:
Category : Dissertations, Academic
Languages : en
Pages : 700
Book Description
Publisher:
ISBN:
Category : Dissertations, Academic
Languages : en
Pages : 700
Book Description
Essays in Technology Management and Policy
Author: David J. Teece
Publisher: World Scientific
ISBN: 9789810244477
Category : Technology & Engineering
Languages : en
Pages : 528
Book Description
This book examines the manner in which successful firms develop, transfer, protect, and capture value from technological innovation. In essence, it is about ?knowledge management?, which lies at the foundation of firm level competitive advantage in today's global economy. The essays contain some of the fundamental contributions to the field of knowledge management by one of its best-known thinkers; they also constitute an immensely practical guide for those managers who wish to look below the surface of what is going on in Silicon Valley and elsewhere.
Publisher: World Scientific
ISBN: 9789810244477
Category : Technology & Engineering
Languages : en
Pages : 528
Book Description
This book examines the manner in which successful firms develop, transfer, protect, and capture value from technological innovation. In essence, it is about ?knowledge management?, which lies at the foundation of firm level competitive advantage in today's global economy. The essays contain some of the fundamental contributions to the field of knowledge management by one of its best-known thinkers; they also constitute an immensely practical guide for those managers who wish to look below the surface of what is going on in Silicon Valley and elsewhere.
Exploring the Financial Landscape in the Digital Age
Author: Thomas Andreas Maurer
Publisher: CRC Press
ISBN: 1040149677
Category : Business & Economics
Languages : en
Pages : 831
Book Description
The Proceedings of the International Conference on Financial Management and the Digital Economy (ICFMDE 2023) offers an overview of research and insights into how financial management is evolving in the digital age. The book covers a broad spectrum from examining cryptocurrency trends to exploring fintech advancements. Topics also extend to digital transformation strategies, practical applications of blockchain technology, and the profound impact of digital innovations on financial markets. Through rigorous research and analysis, the proceedings offer valuable insights into the future trajectory of the global economy. Written for scholars, researchers, and industry professionals in finance, economics, and digital innovation, this collection provides valuable insights into the rapidly changing field of financial management. Readers will gain deep perspectives on how digitalization is reshaping financial landscapes worldwide.
Publisher: CRC Press
ISBN: 1040149677
Category : Business & Economics
Languages : en
Pages : 831
Book Description
The Proceedings of the International Conference on Financial Management and the Digital Economy (ICFMDE 2023) offers an overview of research and insights into how financial management is evolving in the digital age. The book covers a broad spectrum from examining cryptocurrency trends to exploring fintech advancements. Topics also extend to digital transformation strategies, practical applications of blockchain technology, and the profound impact of digital innovations on financial markets. Through rigorous research and analysis, the proceedings offer valuable insights into the future trajectory of the global economy. Written for scholars, researchers, and industry professionals in finance, economics, and digital innovation, this collection provides valuable insights into the rapidly changing field of financial management. Readers will gain deep perspectives on how digitalization is reshaping financial landscapes worldwide.