Balance Sheet: Volume 10 Issue 4

Subject:

Table of contents

Five things an FD needs to know about the insurance market

The insurance market is having a tough time. Costs are rising as risk become tougher. But the best risks see high costs of insurance as a reason to leave the market and insure…

3298

Coherent risk measurement: an introduction

Andreas Krause

It is shown that the widely used risk measures standard deviation and value at risk do not always reflect risk preferences accurately. To overcome these problems in risk…

5846

No surprises: the case for better risk reporting

This position paper from the Financial Reporting Committee of The Institute of Chartered Accountants in England and Wales provides an update on the latest thinking on risk…

4455

Financial risk management: is it a value‐adding activity?

Richard Fairchild

Considers whether financial risk management is value‐adding. Although risk management can reduce total risk, this may not affect the cost of capital or firm value…

12488

Behaviour‐based risk management systems: Reducing costs by changing attitudes

Mike Hammond

The drive to eliminate losses leads to greater emphasis on risk‐control measures. Argues that risk management can be transformed through the use of behaviour‐based risk management…

3310

Asset management: equities demystified

Shanta Acharya

In this series of extracts from the concluding chapter of Acharya’s book, Asset Management: Equities Demystified, the author argues that the major factor in future developments…

2124

ISSN:

0965-7967

Online date, start – end:

2000 – 2004

Copyright Holder:

Emerald Publishing Limited

Merged to become:

Journal of Risk Finance