M1:Corporate finance and risk in corporations M2:Why should you manage the risk of a company
Risk Management
- 01 M1:Corporate finance and risk in corporations M2:Why should you manage the risk of a company
- 02 M2:Why should you manage the risk of a company
- 03 End of Module 2, Beginning of Module 3 Measuring
- 04 Value-at-Risk
- 05 Value-at-Risk and Introduction Module 4
- 06 Continuing Module 4: Explaining financial derivatives
- 07 Financial Risk Management Tools
- 08 Continuing Module 4: Explaining financial derivatives and Module 5: Using financial derivatives
- 09 (Part 9) Risk Management
Dein Lernfortschritt
0
0
0
Leider gibt es keine gratis Vorschau für die Flash-unabhängige Version dieses Vortrags.
Du kannst den Vortrag kaufen, um ihn vollständig anzusehen. Hast du ihn bereits gekauft, brauchst du dich einfach nur einloggen.
Alternativ kannst du diese Seite auch mit einem flash-fähigen Gerät oder Browser aufrufen. Dann kannst du dir eine gratis Vorschau dieses Vortrags anschauen.
Beschreibung
High-quality lecture on the subject of "M1:Corporate finance and risk in corporations M2:Why should you manage the risk of a company" in the series "Risk Management" by Prof. Dr. Bernhard Schwetzler. The online lecture is held in English.
Overview of chapters:
- Introduction
- Guidelines for module 1
- Definition of risk example
- Three steps to realize the goal of risk management
- Classification of risk factors
- Three strategies to handle identified risks
- Several ways to alter the risk-return profile of a company
- Agreements for the remaining course
- A simple problem
- Quotes from the Warren Buffets shareholders address in 2002
- Module 2: Why should you manage the risk of a company?
- Quote from Froot/Stein/Scharfstein
- The prototype model
- State-Contingent-Claims and their prices
- Example
- Where do Arrow-Debreu state prices come from?
- Taxes
- Example
Hochwertige Vorlesung zum Thema "M1:Corporate finance and risk in corporations M2:Why should you manage the risk of a company" in der Reihe "Risk Management" von Prof. Dr. Bernhard Schwetzler. Die Online-Vorlesung wird in englischer Sprache gehalten.
Uebersicht der Kapitel:
- Introduction
- Guidelines for module 1
- Definition of risk example
- Three steps to realize the goal of risk management
- Classification of risk factors
- Three strategies to handle identified risks
- Several ways to alter the risk-return profile of a company
- Agreements for the remaining course
- A simple problem
- Quotes from the Warren Buffets shareholders address in 2002
- Module 2: Why should you manage the risk of a company?
- Quote from Froot/Stein/Scharfstein
- The prototype model
- State-Contingent-Claims and their prices
- Example
- Where do Arrow-Debreu state prices come from?
- Taxes
- Example
* Alle Preise inkl. Mehrwertsteuer
