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Ecological, Societal, and Technological Risks and the Financial Sector / Walker, Thomas ; Gramlich, Dieter ; Bitar, Mohammad ; Fardnia, Pedram
TÃtulo : Ecological, Societal, and Technological Risks and the Financial Sector Tipo de documento: documento electrónico Autores: Walker, Thomas, ; Gramlich, Dieter, ; Bitar, Mohammad, ; Fardnia, Pedram, Mención de edición: 1 ed. Editorial: [s.l.] : Springer Fecha de publicación: 2020 Número de páginas: XXVIII, 436 p. 62 ilustraciones ISBN/ISSN/DL: 978-3-030-38858-4 Nota general: Libro disponible en la plataforma SpringerLink. Descarga y lectura en formatos PDF, HTML y ePub. Descarga completa o por capítulos. Idioma : Inglés (eng) Palabras clave: Gestion de riesgos financieros La economÃa del desarrollo Gestión Industria de servicios financieros Innovaciones tecnológicas Gobierno corporativo Gestión de riesgos Servicios financieros Gestión de Innovación y TecnologÃa Clasificación: 658.155 Resumen: El sector financiero actual enfrenta múltiples desafÃos derivados de riesgos ecológicos, sociales y tecnológicos como el cambio climático, el extremismo polÃtico y los ciberataques. Sin embargo, estos riesgos no tradicionales aún deben identificarse y medirse plenamente para garantizar su gestión exitosa. Esta colección editada arroja luz sobre el tema al examinar los desafÃos únicos de medición y modelado asociados con cada uno de estos riesgos y su interacción con las finanzas. Al ofrecer un análisis integral de los riesgos financieros no tradicionales, los autores proporcionan la base para desarrollar técnicas apropiadas de gestión de riesgos. Con nuevos enfoques para proteger contra las amenazas emergentes al sector financiero, esta colección editada atraerá a los académicos que investigan la sostenibilidad, la financiación del desarrollo y la gestión de riesgos, asà como a los formuladores de polÃticas y profesionales del sector bancario. Nota de contenido: 1. Emerging Risks: An Overview; Thomas Walker, Dieter Gramlich, Kalima Vico, and Adele Dumont-Bergeron -- Part I. Ecological Risks -- 2. Climate Change: Macroeconomic Impact and Implications for Monetary Policy; Sandra Batten, Rhiannon Sowerbutts, and Misa Tanaka -- 3. Global Warming and Extreme Weather Investment Risks; Quintin Rayer, Peter Pfleiderer, Karsten Haustein -- 4. Mapping Out When and Where Climate Risk Becomes a Credit Risk; James Leaton -- 5. Designing Insurance against Extreme Weather Risk: The Case of HuRLOs; Martin Boyer, Michèle Breton, Pascal Francois -- 6. The Evolving Risk Management Opportunity and Thinking Sustainability First; Stephen Kibsey, Stéfanie Kibsey, Amr Addas, Cary Krosinsky -- Part II. Societal Risks -- 7. Terrorism and Trading: Differential Equity and Bond Market Responses during Violent Elections; Tashfeen Hussein and Allan Dwyer -- 8. The Effect of Corporate Tax Avoidance on Society; Gio Wiederhold -- 9. Planning for the Carbon Bubble; Carla Santos Skandier -- 10. Economic Risks from Policy Pressures in Montreal's Real Estate Market; Carmela Cucuzzella and Jordan Owen -- 11. Climate Change and Reputation in the Financial Services Sector; Robert Bopp -- 12. Financial Risk Management in the Anthropocene Age; Bradly Condon and Tapen Sinha -- Part III. Technological Risks -- 13. An Incentives-based Mechanism for Corporate Cyber Governance Enforcement and Regulation; Shaen Corbet and Constantin Gurdgiev -- 14. FinTech for Consumers and Retail Investors: Opportunities and Risks of Digital Payment and Investment Services; Matthias Horn, Andreas Oehler, Stefan Wendt -- 15. Empirical Modelling of Man-made Disaster Scenarios; Melanie Windirsch -- 16. Changing Dynamics of Financial Risk related to Investments in Low Carbon Technologies; Mohd Hafdzuan Bin Adzmi, Huiying Cai, Masachika Suzuki -- 17. A New Era in the Risk Management of Financial Firms; Sureyya Burcu Avci -- 18. Emerging Risks: Concluding Remarks; Dieter Gramlich and Thomas Walker. Tipo de medio : Computadora Summary : Today's financial sector faces multiple challenges stemming from ecological, societal, and technological risks such as climate change, political extremism, and cyber-attacks. However, these non-traditional risks are yet to be fully identified and measured, in order to ensure their successful management. This edited collection sheds light on the topic by examining the unique measurement and modelling challenges associated with each of these risks, and their interaction with finance. Offering a comprehensive analysis of non-traditional finance risks, the authors provide the basis for developing appropriate risk management techniques. With new approaches to protect against emerging threats to the financial sector, this edited collection will appeal to academics researching sustainability, development finance, and risk management, as well as policy-makers and practitioners within the banking sector. Enlace de acceso : https://link-springer-com.biblioproxy.umanizales.edu.co/referencework/10.1007/97 [...] Ecological, Societal, and Technological Risks and the Financial Sector [documento electrónico] / Walker, Thomas, ; Gramlich, Dieter, ; Bitar, Mohammad, ; Fardnia, Pedram, . - 1 ed. . - [s.l.] : Springer, 2020 . - XXVIII, 436 p. 62 ilustraciones.
ISBN : 978-3-030-38858-4
Libro disponible en la plataforma SpringerLink. Descarga y lectura en formatos PDF, HTML y ePub. Descarga completa o por capítulos.
Idioma : Inglés (eng)
Palabras clave: Gestion de riesgos financieros La economÃa del desarrollo Gestión Industria de servicios financieros Innovaciones tecnológicas Gobierno corporativo Gestión de riesgos Servicios financieros Gestión de Innovación y TecnologÃa Clasificación: 658.155 Resumen: El sector financiero actual enfrenta múltiples desafÃos derivados de riesgos ecológicos, sociales y tecnológicos como el cambio climático, el extremismo polÃtico y los ciberataques. Sin embargo, estos riesgos no tradicionales aún deben identificarse y medirse plenamente para garantizar su gestión exitosa. Esta colección editada arroja luz sobre el tema al examinar los desafÃos únicos de medición y modelado asociados con cada uno de estos riesgos y su interacción con las finanzas. Al ofrecer un análisis integral de los riesgos financieros no tradicionales, los autores proporcionan la base para desarrollar técnicas apropiadas de gestión de riesgos. Con nuevos enfoques para proteger contra las amenazas emergentes al sector financiero, esta colección editada atraerá a los académicos que investigan la sostenibilidad, la financiación del desarrollo y la gestión de riesgos, asà como a los formuladores de polÃticas y profesionales del sector bancario. Nota de contenido: 1. Emerging Risks: An Overview; Thomas Walker, Dieter Gramlich, Kalima Vico, and Adele Dumont-Bergeron -- Part I. Ecological Risks -- 2. Climate Change: Macroeconomic Impact and Implications for Monetary Policy; Sandra Batten, Rhiannon Sowerbutts, and Misa Tanaka -- 3. Global Warming and Extreme Weather Investment Risks; Quintin Rayer, Peter Pfleiderer, Karsten Haustein -- 4. Mapping Out When and Where Climate Risk Becomes a Credit Risk; James Leaton -- 5. Designing Insurance against Extreme Weather Risk: The Case of HuRLOs; Martin Boyer, Michèle Breton, Pascal Francois -- 6. The Evolving Risk Management Opportunity and Thinking Sustainability First; Stephen Kibsey, Stéfanie Kibsey, Amr Addas, Cary Krosinsky -- Part II. Societal Risks -- 7. Terrorism and Trading: Differential Equity and Bond Market Responses during Violent Elections; Tashfeen Hussein and Allan Dwyer -- 8. The Effect of Corporate Tax Avoidance on Society; Gio Wiederhold -- 9. Planning for the Carbon Bubble; Carla Santos Skandier -- 10. Economic Risks from Policy Pressures in Montreal's Real Estate Market; Carmela Cucuzzella and Jordan Owen -- 11. Climate Change and Reputation in the Financial Services Sector; Robert Bopp -- 12. Financial Risk Management in the Anthropocene Age; Bradly Condon and Tapen Sinha -- Part III. Technological Risks -- 13. An Incentives-based Mechanism for Corporate Cyber Governance Enforcement and Regulation; Shaen Corbet and Constantin Gurdgiev -- 14. FinTech for Consumers and Retail Investors: Opportunities and Risks of Digital Payment and Investment Services; Matthias Horn, Andreas Oehler, Stefan Wendt -- 15. Empirical Modelling of Man-made Disaster Scenarios; Melanie Windirsch -- 16. Changing Dynamics of Financial Risk related to Investments in Low Carbon Technologies; Mohd Hafdzuan Bin Adzmi, Huiying Cai, Masachika Suzuki -- 17. A New Era in the Risk Management of Financial Firms; Sureyya Burcu Avci -- 18. Emerging Risks: Concluding Remarks; Dieter Gramlich and Thomas Walker. Tipo de medio : Computadora Summary : Today's financial sector faces multiple challenges stemming from ecological, societal, and technological risks such as climate change, political extremism, and cyber-attacks. However, these non-traditional risks are yet to be fully identified and measured, in order to ensure their successful management. This edited collection sheds light on the topic by examining the unique measurement and modelling challenges associated with each of these risks, and their interaction with finance. Offering a comprehensive analysis of non-traditional finance risks, the authors provide the basis for developing appropriate risk management techniques. With new approaches to protect against emerging threats to the financial sector, this edited collection will appeal to academics researching sustainability, development finance, and risk management, as well as policy-makers and practitioners within the banking sector. Enlace de acceso : https://link-springer-com.biblioproxy.umanizales.edu.co/referencework/10.1007/97 [...]