An edition of Risk management in finance (2009)

Risk management in finance

six sigma and other next generation techniques

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Last edited by MARC Bot
July 22, 2019 | History
An edition of Risk management in finance (2009)

Risk management in finance

six sigma and other next generation techniques

Implement next-generation techniques-before disaster strikes--and improve operation risk management "The recent global economic crisis has brought home the need for realistic operational risk management as an important element of an organization's survival strategy in turbulent times. In Risk Management in Finance Dr. Tarantino and his coauthors provide an operational risk framework for the twenty-first-century organization by culling the state-of-the-arts knowledge on next-generation techniques in financial risk management to forestall major risk management failures. This book represents a landmark contribution in attempting to create a corporate world that is able to cope with major crisis. The book should be on the must read list for all those interested in reforming corporate governance." --Dr. Anwar Shah, Lead Economist and Program Leader, Governance, World Bank Institute "As operational risk management advances, interest in process-centered risk management has grown. This timely book presents a valuable overview of leading-edge theory and practice." --Simon Wills, Executive Director, Operational Riskdata eXchange Association (ORX), the world's largest banking association for sharing operational loss data

Publish Date
Publisher
Wiley
Language
English
Pages
327

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Edition Availability
Cover of: Risk management in finance
Cover of: Risk Management in Finance
Risk Management in Finance
2009, John Wiley & Sons, Ltd.
Electronic resource in English

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Book Details


Table of Contents

Data governance in financial risk management
Information risk and data quality management
Total quality management using lean six sigma
An operational risk management framework for all organizations
Financial risk management in asia
Mitigating risk exposure in transitioning to the ifrs
Quantitative operational risk management methods.

Edition Notes

Includes bibliographical references and index.

Published in
Hoboken, N.J

Classifications

Dewey Decimal Class
658.15/5
Library of Congress
HG173 .T346 2009, HG173.T346 2009

The Physical Object

Pagination
p. cm.
Number of pages
327

Edition Identifiers

Open Library
OL22696709M
ISBN 13
9780470413463
LCCN
2008052035
OCLC/WorldCat
260029199
Goodreads
7053551

Work Identifiers

Work ID
OL5841450W

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