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Climate change risk management in banks, Ramakrishna, Saloni P.


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Цена: 14827.00р.
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Автор: Ramakrishna, Saloni P.
Название:  Climate change risk management in banks
ISBN: 9783110757910
Издательство: Walter de Gruyter
Издательство: De gruyter
Классификация:
ISBN-10: 3110757915
Обложка/Формат: Hardback
Страницы: 325
Вес: 0.68 кг.
Дата издания: 04.12.2023
Серия: The moorad choudhry global banking series
Язык: English
Иллюстрации: 33 tables, black and white; 72 illustrations, color
Размер: 177 x 246 x 25
Ключевые слова: Finance, BUSINESS & ECONOMICS / Banks & Banking
Подзаголовок: The next paradigm
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Поставляется из: США
Описание:

Banks, like other businesses, endeavor to drive revenue and growth, while deftly managing the risks. Dubbed the next frontier in risk management for financial services, climate related risks are the newest and potentially the most challenging set of risks that banks are encountering.

On the one hand, banks must show their commitment to becoming net zero and, on the other, help their customers transition to more sustainable operations, all this while managing climate-related financial risks. It is a paradigm shift from how the banking industry has traditionally managed risks as climate change risks are complex. They are multilayered, multidimensional with uncertain climate pathways that impact real economy which in turn influences the financial ecosystem in myriad ways.

Climate Change Risk Management in Banks weaves the complete lifecycle of climate risk management from strategy to disclosures, a must-read for academics, banking professionals and other stakeholders interested in understanding and managing climate change risk. It provides much-needed insights, enabling organizations to respond well to these new risks, protect their businesses, mitigate losses and enhance brand value.

Saloni Ramakrishna, an acknowledged financial industry practitioner, argues that given the uncertain and volatile climate paths, complex geopolitical patterns, and sustainability challenges, banks and business professionals will benefit from a wholistic approach to managing climate change risks. The book provides a blueprint and a cohesive framework for embracing and maintaining such an approach, in a simple and structured format.




Financial Risk Management and Climate Change Risk

Автор: Scalia
Название: Financial Risk Management and Climate Change Risk
ISBN: 3031338812 ISBN-13(EAN): 9783031338816
Издательство: Springer
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Цена: 9756.00 р.
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Описание: Financial risk management for institutional investors has recently grown in scope to include long-term sustainability considerations and climate change risk concerns. This book shows how a national central bank in the Eurosystem has adapted its financial risk management principles and practices against the background of non-conventional monetary policy measures and following the introduction of sustainability criteria, with a special role for carbon-neutrality. The topics covered include a market-based approach to evaluating credit risk, the development of an independent credit rating system, and the properties and limitations of agencies’ sovereign ratings. Furthermore, the book analyzes the integration of sustainability principles into strategic asset allocation and describes the use of machine learning techniques for discerning the role of the E, S and G variables in equity returns. The authors also discuss the growth of the global green bond market and the greenium, as well as the sustainability indicators for large portfolios of corporate and government securities. Given its scope, the book will appeal to all professionals working in the field who would like to know the state-of-the-art in these areas.

Decoding article 6 of the paris agreement version ii

Автор: Asian Development Bank
Название: Decoding article 6 of the paris agreement version ii
ISBN: 9292626191 ISBN-13(EAN): 9789292626198
Издательство: Mare Nostrum (Eurospan)
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Цена: 3010.00 р.
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Описание: This publication presents the latest developments and unresolved issues for negotiations on Article 6 of the Paris Agreement leading up to the 26th United Nations Climate Change Conference of the Parties in Glasgow.Article 6 enables countries to utilize market and nonmarket approaches to achieve their nationally determined contributions. Yet, international negotiations on Article 6 are complex and ongoing. The Parties of the Paris Agreement have made progress on many issues, but contentious matters on political and technical aspects remain unresolved.

Managing Change in the Excellent Banks

Автор: Steven I. Davis
Название: Managing Change in the Excellent Banks
ISBN: 1349107468 ISBN-13(EAN): 9781349107469
Издательство: Springer
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Цена: 6707.00 р.
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Описание: Since this book was first published four years ago, the pace of change in the banking world has accelerated and this updated version shows how specific banks have fared, how uniform the pressures for change are and the reasons for the decline in some banks.

Basic Statistics for Risk: Management in Banks and Financial Institutions

Автор: Bandyopadhyay A.
Название: Basic Statistics for Risk: Management in Banks and Financial Institutions
ISBN: 0192849018 ISBN-13(EAN): 9780192849014
Издательство: Oxford Academ
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Цена: 18130.00 р.
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Описание: This book demonstrates how banks and financial institutions can apply many simple but effective statistical techniques to analyze risks they face in business and safeguard themselves from potential vulnerability.

Risk management for central banks and other public investors

Название: Risk management for central banks and other public investors
ISBN: 0521518563 ISBN-13(EAN): 9780521518567
Издательство: Cambridge Academ
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Цена: 22810.00 р.
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Описание: The turmoil caused by problems in the American mortgage market has served as an important reminder of the interdependency of global financial institutions. This book presents a survey of the fundamental issues surrounding risk management and shows how central banks and other public investors can create better risk management systems.

Decision taking, confidence and risk management in banks from early modernity to the 20th century

Название: Decision taking, confidence and risk management in banks from early modernity to the 20th century
ISBN: 3319824945 ISBN-13(EAN): 9783319824949
Издательство: Springer
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Цена: 21953.00 р.
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Описание: This book offers 14 contributions that examine key questions in bank decision-taking,constitution of confidence in banks and risk management practices from Early Modernity to the twentieth century.

Risk Management Competency Development in Banks: An Integrated Approach

Автор: Koh Eric H. Y.
Название: Risk Management Competency Development in Banks: An Integrated Approach
ISBN: 9811375984 ISBN-13(EAN): 9789811375989
Издательство: Springer
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Цена: 6097.00 р.
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Описание:

This Pivot proposes an integrated approach to facilitate competency development in a more comprehensive way. It examines this approach in the important but seldom studied context of risk management in banks.
Risk management weaknesses in banks have persisted in spite of regulatory changes. This Pivot takes inspiration from three unlikely sports heroes to create the proposed integrated approach to risk management competency development, bringing together three competency development concepts hitherto studied in isolation that are more comprehensive and more effective when combined.
The author studies the integrated approach under three specific objectives. The concepts are first operationalized into 23 actionable indicators through literature reviews and experts’ reaffirmation. Then, the t-test and discriminant analysis are used to identify how banks across different demographic groups place different emphases on these indicators. Lastly, these indicators are summarized into key themes via factor analysis.
The Regulation of Systemically Relevant Banks

Автор: Sebastian C. Moenninghoff
Название: The Regulation of Systemically Relevant Banks
ISBN: 365824867X ISBN-13(EAN): 9783658248673
Издательство: Springer
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Цена: 13415.00 р.
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Описание: Sebastian Moenninghoff provides an extensive overview of the status of the ‘Too-Big-to-Fail’ doctrine post-crisis and develops the first comprehensive framework to categorize and discuss the full range of major policy options for regulating banks. Governments need to actively manage their exposure to banking system risk with the optimal policy mix depending on risk return preferences of a society and an economy’s institutional setting. The new regulation for global systemically important banks developed by international regulators following the financial crisis is a significant step in expanding the tools to manage government exposure to banking system risk.

Raising Capital or Improving Risk Management and Efficiency?

Автор: Fabiano Colombini
Название: Raising Capital or Improving Risk Management and Efficiency?
ISBN: 3030101045 ISBN-13(EAN): 9783030101046
Издательство: Springer
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Цена: 18294.00 р.
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Описание:

This book analyses the raising of capital imposed by regulatory and supervisory constraints for the soundness and survival of banks in Europe, highlighting critical issues. Accordingly, the text examines the improvement of risk management and efficiency operated by individual banks as the main driver for reinforcing bank resilience and survival. The investigation is carried out essentially through study of risk management, efficiency, capital constraints, bank regulation and supervision in Europe, monetary policy and economic growth in Europe, capital raising in European banks, bank regulation and supervision in the USA, raising of capital or improvement of risk management and efficiency as the final issue.
Raising capital by regulatory and supervisory constraints meets solvency requirements at a given time. In contrast, improving risk management and efficiency allows banks to create the best structural premises for reducing costs, increasing revenue and profits and capital level, contributing to the solvency and survival of banks.
The Principles of Green Banking: Managing Environmental Risk and Sustainability

Автор: Suborna Barua
Название: The Principles of Green Banking: Managing Environmental Risk and Sustainability
ISBN: 3110661136 ISBN-13(EAN): 9783110661132
Издательство: Walter de Gruyter
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Цена: 12078.00 р.
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Описание: The Moorad Choudhry Global Banking Series edited by Dr Moorad Choudhry The Moorad Choudhry Global Banking series is a new collection of books aimed at market practitioners, academics and graduate students in key areas of global banking. It covers core topics such as risk management, corporate governance and strategy, as well as recent developments affecting the future of banking, including digital banking, machine learning, fintech, blockchain and the latest in product development. The series is designed to be all-encompassing, with titles ranging from technical and specialist areas such as derivatives central clearing to wider areas of social interest such as corporate governance and corporate social responsibility in banking. It aims to present current and future best-practice in all aspects of banking, from the world’s leading writers on this topic. Authors will be experienced and respected practitioners and academics from globally recognised institutions. The series engages a global perspective on the changing nature of banking. It seeks authors with innovative approaches to the subject or an interest in challenging established conventions. It welcomes both monographs and edited collections that share these aims. We are looking for interesting new book proposals, which might include: • Individual monographs which allow research ideas to be developed at greater length than might be possible in journal articles • Edited volumes which draw together multiple contributors from different organisations and institutions around a particular theme • Technical publications covering specialist topics • Contributions which offer novel approaches to any aspect of banking. Series Editor: If you are interested in submitting a proposal or have any questions, please contact the Series Editor: mooradchoudhry@gmail.com Dr Moorad Choudhry P.O. Box 101 East Horsley KT24 5EU England Mobile/WhatsApp +447767624942

Risk Management for Central Banks and Other Public Investors

Автор: Bindseil
Название: Risk Management for Central Banks and Other Public Investors
ISBN: 1107403561 ISBN-13(EAN): 9781107403567
Издательство: Cambridge Academ
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Цена: 9186.00 р.
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Описание: The turmoil caused by problems in the American mortgage market has served as an important reminder of the interdependency of global financial institutions. This book presents a survey of the fundamental issues surrounding risk management and shows how central banks and other public investors can create better risk management systems.

Bank governance structures and risk taking

Автор: Froneberg, Dennis
Название: Bank governance structures and risk taking
ISBN: 3631667132 ISBN-13(EAN): 9783631667132
Издательство: Peter Lang
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Цена: 9971.00 р.
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Описание: The book sheds light on two closely related and highly relevant governance themes: the composition of supervisory boards and financial expertise as well as ownership structure. The author focuses on the financial expertise of supervisory boards and its impact on performance and risk. He analyses how supervisory boards are composed and how much financial expertise their members have, assesses the impact of financial expertise on a banks’ risk-return profiles and investigates if financial expertise in internal bank governance contributes to more stability and less risk taking in banking. Finally, he examines the effects of the ownership structure on credit risk. He finds that banks with a more concentrated ownership structure tend to behave riskier, which is indicated by larger CDS spreads.


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