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Managing operational risk : 20 firmwide best practice strategies

Managing operational risk : 20 firmwide best practice strategies (4회 대출)

자료유형
단행본
개인저자
Hoffman, Douglas, 1955-.
서명 / 저자사항
Managing operational risk : 20 firmwide best practice strategies / Douglas G. Hoffman.
발행사항
New York :   Wiley,   c2002.  
형태사항
xxxvi, 534 p. : ill. ; 24 cm.
총서사항
[Wiley finance]
ISBN
0471412686 (cloth : alk. paper)
서지주기
Includes bibliographical references (p. 487-524) and index.
일반주제명
Finance. Risk management. Capital market. Banks and banking. Financial institutions. Corporations -- Finance.
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245 1 0 ▼a Managing operational risk : ▼b 20 firmwide best practice strategies / ▼c Douglas G. Hoffman.
260 ▼a New York : ▼b Wiley, ▼c c2002.
300 ▼a xxxvi, 534 p. : ▼b ill. ; ▼c 24 cm.
490 1 ▼a [Wiley finance]
504 ▼a Includes bibliographical references (p. 487-524) and index.
650 0 ▼a Finance.
650 0 ▼a Risk management.
650 0 ▼a Capital market.
650 0 ▼a Banks and banking.
650 0 ▼a Financial institutions.
650 0 ▼a Corporations ▼x Finance.
830 0 ▼a Wiley finance series.

소장정보

No. 소장처 청구기호 등록번호 도서상태 반납예정일 예약 서비스
No. 1 소장처 중앙도서관/교육보존A/6 청구기호 658.155 H699m 등록번호 111215758 (4회 대출) 도서상태 대출가능 반납예정일 예약 서비스 B M

컨텐츠정보

책소개

Published in association with the Global Association of Risk Professionals
As e-commerce and globalization continue to expand, so does the level of operational risk, increasing the need for guidance on how to measure and manage it. This is the definitive guide to managing operational risk in financial institutions. Written in a concise, no-nonsense style, and containing numerous real-life case studies, it covers all the bases from the basics of what operational risk is to how to design and implement sophisticated operational risk management systems. Readers will appreciate the up-to-the-minute coverage of the latest techniques and practices to manage operational risk. They will learn how to enhance their positions in the face of anticipated new regulatory standards and capital requirements.
Douglas G. Hoffman (Fairfield, CT) is an independent consultant in operational risk management. His firm, Operational Risk Advisors, provides executive training and assists financial institutions and corporate clients worldwide in operational risk analysis and mitigation.

"Managing Operational Risk" ist ein maßgeblicher Leitfaden zum Handling des operativen Risikos in Finanzinstituten. Als operatives Risiko bezeichnet man das Risiko fur mogliche unerwartete Verluste, die auf Systemfehler, nicht adaquate interne Steuerungs- und Kontrollmechanismen sowie auf menschliches Versagen und hohere Gewalt zuruckzufuhren sind. Erlautert werden hier alle grundsatzlichen Fragen, angefangen bei einer ausfuhrlichen Definition des Begriffs operatives Risiko, bis hin zu Entwurf und Implementierung anspruchsvoller Riskmanagement-Systeme. Daruber hinaus werden neueste Verfahren zur Erstellung von Computermodellen ebenso erortert wie fuhrende Methoden zur Integration von Legacy Systemen fur die Bewertung und Erfassung operativer Risiken. "Managing Operational Risk" ist ein sachlich-pragnanter Ratgeber zur Bewertung und Minimierung des operativen Risikos. Geschrieben von Douglas Hoffman, einem international fuhrenden Experten auf diesem Gebiet. Mit zahlreichen Fallstudien zu Spitzenfinanzinstitutionen weltweit.

New feature

Details of the 20 best management strategies for operational risk

"Finally, we have a comprehensive, practical tool for operational risk. This book covers all critical aspects of operational risk, from simply how to get started to the complex modeling of the risk. The case studies are especially useful."
-Mark Balfan
Senior Vice President and Group Head, Corporate Risk Management
Bank of Tokyo Mitsubishi

"Doug Hoffman was in the business of managing operational risk before most and it shows. His book is both comprehensive and to the point-a tough combination to achieve."
-Simon Wills
Director, British Bankers' Association

"Operational risk has become a central issue in the management of enterprise risk and for capital adequacy standards for financial institutions. Doug Hoffman is among the very few pioneers in developing an understanding of operational risk, the discipline of operational risk management, and related capital attribution standards for economic and regulatory capital. This book will become a reference work for the financial services industry and financial regulators."
-George J. Vojta
Director, Financial Services Forum

"In a quickly evolving area, this book provides a balanced and thorough discussion of the variety of approaches a bank can use to establish a risk management and measurement system for operational risk. The book presents a solid conceptual analysis of the issues to consider, paired with practical guidance."
-Barbara Matthews
Banking Advisor and Regulatory Counsel, The Institute of International Finance, Inc.

Managing Operational Risk is the answer for executives and operational risk managers of financial firms who want to establish the best policies for bridling operational risk at a firmwide and enterprise-wide level. The techniques and practices presented here include:
* Dynamic risk monitoring and reporting-implement a continuum of data and risk tools for effective identification, assessment, mitigation, and finance
* Risk assessment, modeling, and risk-adjusted performance measures-calculate, monitor, and manage the effects of operational losses on firmwide and business unit levels
* Operational risk technology and systems-ensure program efficiency by leveraging technology in enterprise-wide data gathering
* Market perception-develop a plan and ongoing discipline for protecting corporate integrity and managing crises that may impact a firm's reputation, brand, or franchise
* Insurance and risk finance programs-design, evaluate, and fine-tune insurance and developing financial programs for operational risks


정보제공 : Aladin

목차

Introduction.

Operational Risk Management 101: An Executive Summary.

The Best Practice Strategies.

What is Operational Risk?

The Real Opportunity: Creating More Effective Companies.

Operational Risk and Market Perception: Franchise, Reputation, and Brand Risk.

The Enterprise-Wide Framework: Corporate Governance, Mandate, and Roles.

The Operational Risk Management Group.

Risk Response Framework and Strategies.

Risk Assessment Strategies.

Database and Consortia: Working Through the Details.

Risk Indicators and Scorecards: Cornerstones for Operational Risk Monitoring.

Operational Risk Analysis and Measurement: Practical Building Blocks.

Dynamic Risk Profiling and Monitoring.

Insurance and Operational Risks: Aligning Conventional Programs.

Operational Risk Finance: The Re-Engineering Process.

Economic Risk Capital Modeling: Allocation and Attribution.

Regulatory Capital and Supervision.

An Operational Risk Management Case Study: Managing Internet Banking Risk.

Operational Risk Technology and Systems.

The Game Plan and Action Steps.

Additional Readings.

Operational Risk Management: Bibliography of Sources.

Endnotes.

Index.


정보제공 : Aladin

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