Managing Risk and Uncertainty

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Opis: Managing Risk and Uncertainty - Richard Friberg

This book offers a framework for making decisions under risk and uncertainty. Synthesizing research from economics, finance, decision theory, management, and other fields, the book provides a set of tools and a way of thinking that determines the relative merits of different strategies. It takes as its premise that we make better decisions if we use the whole toolkit of economics and related fields to inform our decision making. The text explores the distinction between risk and uncertainty and covers standard models of decision making under risk as well as more recent work on decision making under uncertainty, with a particular focus on strategic interaction. It also examines the implications of incomplete markets for managing under uncertainty. It presents four core strategies: a benchmark strategy (proceeding as if risk and uncertainty were low), a financial hedging strategy (valuable if there is much risk), an operational hedging strategy (valuable for conditions of much uncertainty), and a flexible strategy (valuable if there is much risk and/or uncertainty). The book then examines various aspects of these strategies in greater depth, building on empirical work in several different fields. Topics include price-setting, real options and Monte Carlo techniques, organizational structure, and behavioral biases. Many chapters include exercises and appendixes with additional material. The book can be used in graduate or advanced undergraduate courses in risk management, as a guide for researchers, or as a reference for management practitioners.


Szczegóły: Managing Risk and Uncertainty - Richard Friberg

Tytuł: Managing Risk and Uncertainty
Autor: Richard Friberg
Producent: MIT Press Massachusets Institute of Tech nology
ISBN: 9780262528191
Rok produkcji: 2015
Ilość stron: 400
Oprawa: Miękka
Waga: 0.64 kg


Recenzje: Managing Risk and Uncertainty - Richard Friberg

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Managing Risk and Uncertainty

This book offers a framework for making decisions under risk and uncertainty. Synthesizing research from economics, finance, decision theory, management, and other fields, the book provides a set of tools and a way of thinking that determines the relative merits of different strategies. It takes as its premise that we make better decisions if we use the whole toolkit of economics and related fields to inform our decision making. The text explores the distinction between risk and uncertainty and covers standard models of decision making under risk as well as more recent work on decision making under uncertainty, with a particular focus on strategic interaction. It also examines the implications of incomplete markets for managing under uncertainty. It presents four core strategies: a benchmark strategy (proceeding as if risk and uncertainty were low), a financial hedging strategy (valuable if there is much risk), an operational hedging strategy (valuable for conditions of much uncertainty), and a flexible strategy (valuable if there is much risk and/or uncertainty). The book then examines various aspects of these strategies in greater depth, building on empirical work in several different fields. Topics include price-setting, real options and Monte Carlo techniques, organizational structure, and behavioral biases. Many chapters include exercises and appendixes with additional material. The book can be used in graduate or advanced undergraduate courses in risk management, as a guide for researchers, or as a reference for management practitioners.

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Cena 238,00 PLN
Nasza cena 222,54 PLN
Oszczędzasz 6%
Wysyłka: Niedostępna
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Szczegóły: Managing Risk and Uncertainty - Richard Friberg

Tytuł: Managing Risk and Uncertainty
Autor: Richard Friberg
Producent: MIT Press Massachusets Institute of Tech nology
ISBN: 9780262528191
Rok produkcji: 2015
Ilość stron: 400
Oprawa: Miękka
Waga: 0.64 kg


Recenzje: Managing Risk and Uncertainty - Richard Friberg

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