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Understanding the Financial Crisis : Investment, Risk and Governance - Steen Thomsen

Understanding the Financial Crisis

Investment, Risk and Governance

By: Steen Thomsen (Editor), Caspar Rose (Editor), Ole Risager (Editor)


Published: 28th May 2010
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Presenting experience, research and thought leadership from experts in various disciplines (from INSEAD, Stern Business School, Deutsche Bank and Allianz among others), this book explores why the financial crisis happened and presents recommendations for the building of a new, sustainable financial system.

List of figures and tablesp. 6
Forewordp. 7
Macroeconomic perspectives on the financial crisis: an overviewp. 8
Regulation and risk management
Regulation and risk governancep. 22
The credit crisis of 2007 and its implications for risk managementp. 36
Some thoughts on the role of mathematical models in light of the crisisp. 52
Enterprise architectures for investment managers from a risk management perspectivep. 70
Regulation and governance
Corporate governance and the financial crisisp. 98
Avoiding international financial crises: an incomplete reform agendap. 110
Reputational risk and the financial crisisp. 132
Governance and the financial crisisp. 156
Governance, risk and compliance in the financial sector: an IT perspective in light of the recent financial crisisp. 176
In practice
Three executive interviews: evidence from the front line of investment managementp. 220
Table of Contents provided by Ingram. All Rights Reserved.

ISBN: 9788799315109
ISBN-10: 8799315106
Audience: General
Format: Paperback
Language: English
Number Of Pages: 229
Published: 28th May 2010
Country of Publication: GB
Dimensions (cm): 23.88 x 16.76  x 1.52
Weight (kg): 0.66
Edition Number: 1