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- catalog contributor b11633648.
- catalog created "c2000.".
- catalog date "2000".
- catalog date "c2000.".
- catalog dateCopyrighted "c2000.".
- catalog description "Includes bibliographical references and index.".
- catalog description "pt. 1. Background Analysis. Ch. 1. The Convergence of Insurance Risk Management and Financial Risk Management. Ch. 2. Risk and Utility: Economic Concepts and Decision Rules. Ch. 3. Moral Hazard and Adverse Selection. Ch. 4. Portfolio Theory and Risk Management. Ch. 5. Capital Market Theory. Ch. 6. Derivatives and Options -- pt. 2. Risk Management Strategies. Ch. 7. Why Is Risk Costly to Firms? Ch. 8. Risk Management Strategy: Duality and Globality. Ch. 9. Post-loss Investment Decisions and the Measurement of Loss. Ch. 10. Post-Loss Financing: Fundability and Dysfunctional Investment. Ch. 11. Post-Loss Financing: Liquidity and Debt Renegotiation. Ch. 12. Contingent Financing. Ch. 13. Contingent Leverage Strategies and Hybrid Debt.".
- catalog extent "x, 646 p. :".
- catalog hasFormat "Integrated risk management.".
- catalog identifier "0071358617".
- catalog isFormatOf "Integrated risk management.".
- catalog issued "2000".
- catalog issued "c2000.".
- catalog language "eng".
- catalog publisher "New York : McGraw-Hill,".
- catalog relation "Integrated risk management.".
- catalog subject "658.15/5 21".
- catalog subject "Business insurance.".
- catalog subject "Corporations Finance.".
- catalog subject "HD61 .D643 2000".
- catalog subject "Risk management.".
- catalog tableOfContents "pt. 1. Background Analysis. Ch. 1. The Convergence of Insurance Risk Management and Financial Risk Management. Ch. 2. Risk and Utility: Economic Concepts and Decision Rules. Ch. 3. Moral Hazard and Adverse Selection. Ch. 4. Portfolio Theory and Risk Management. Ch. 5. Capital Market Theory. Ch. 6. Derivatives and Options -- pt. 2. Risk Management Strategies. Ch. 7. Why Is Risk Costly to Firms? Ch. 8. Risk Management Strategy: Duality and Globality. Ch. 9. Post-loss Investment Decisions and the Measurement of Loss. Ch. 10. Post-Loss Financing: Fundability and Dysfunctional Investment. Ch. 11. Post-Loss Financing: Liquidity and Debt Renegotiation. Ch. 12. Contingent Financing. Ch. 13. Contingent Leverage Strategies and Hybrid Debt.".
- catalog title "Integrated risk management : techniques and strategies for managing corporate risk / Neil A. Doherty.".
- catalog type "text".