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Economics/Finances Operational Risk Toward Basel III: Best Practices and Issues in Modeling, Management, and Regulation

Posted on 2010-03-16




Name:Economics/Finances Operational Risk Toward Basel III: Best Practices and Issues in Modeling, Management, and Regulation
ASIN/ISBN:047039014X
Language:English
File size:4.6 Mb
Publish Date: 2009
ISBN: 047039014X
Pages: 497 pages
File Type: PDF
File Size: 4,6 MB
Other Info: Wiley
   Economics/Finances Operational Risk Toward Basel III: Best Practices and Issues in Modeling, Management, and Regulation



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Greg N. Gregoriou, "Operational Risk Toward Basel III: Best Practices and Issues in Modeling, Management, and Regulation"

This book consists of chapters by contributors (well–known professors, practitioners, and consultants from large and well respected money management firms within this area) offering the latest research in the OpRisk area. The chapters highlight how operational risk helps firms survive and prosper by givingreaders the latest, cutting–edge techniques in OpRisk management. Topics discussed include: Basel Accord II, getting ready for the New Basel III, Extreme Value Theory, the new capital requirements and regulations in the banking sector in relation to financial reporting (including developing concepts such as OpRisk Insurance which wasn′t a part of the Basel II framework). The book further discussed quantitative and qualitative aspects of OpRisk, as well as fraud and applications to the fund industry.

From the Inside Flap

Recent developments in the financial world have once again brought the issue of risk management to the forefront. Without a doubt, international banking reforms are now more important than ever, and understanding current compliance issues as well as the effects of future accords such as Basel III is essential.

While newly developed and optimized financial products are supposed to provide better protection against credit and market risk, the factors involved in the operational risk arena continue to grow in complexity. That′s why editor and financial expert Greg N. Gregoriou has created Operational Risk toward Basel III. In it, he brings together experienced practitioners, consultants, and academics to analyze key concepts associated with this discipline.

Divided into four comprehensive sections—Operational Risk Measurement: Qualitative Approaches; Operational Risk Measurement: Quantitative Approaches; Operational Risk Management and Mitigation; and Issues in Operational Risk Regulation and the Fund Industry—this detailed guide not only contains contributed chapters that provide an abundant amount of information regarding operational risk, but it also walks you through a wide array of case studies and examples that will solidify your understanding of the issues discussed.

Topics covered, include:

Operation risk (OpR) management under the new Basel Capital Accord

Dealing with the intangible nature of banking services

OpR vs. capital requirements under new banking capital regulations

Integrating OpR into total Value–at–Risk (VaR)

OpR disclosure in financial services firms

Hedge fund operational risks

OpR in securities clearing and settlement systems

While operational risk has long been regarded as a mere part of "other" risks—outside the realm of credit and market risk—it has quickly made its way to the forefront of finance. With the implementation of the Basel II Accord throughout the developed world and Basel III on the horizon, many financial professionals, as well as those preparing to enter this field, must be familiar with a variety of issues related to operational risk modeling, management, and regulation. Operational Risk toward Basel III contains the information you need to achieve this goal.

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