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Frans de Weert Bank and Insurance Capital Management


In the aftermath of the financial crisis, capital management has become a critical factor in value creation for banks and other financial institutions. Although complex and subject to regulatory change, the strategic importance of capital management became apparent during the crisis and has moved the subject to the top of corporate agendas. Bank and Insurance Capital Management is an essential guide to help banks and insurance companies understand and manage their capital position. Bridging the gap between theory and practice, it provides proven techniques for managing bank capital, as well as explaining key capital management perspectives, including accounting, regulatory, risk and capital management and corporate finance. It also shows how to analyze a firm's stakeholders such as depositors, policy holders, debt holders and shareholders, and manage their expectations, and how to align risk and capital management so as to best optimize the return on capital and preserve capital in periods of stress. Economic capital is also discussed in depth, as are the practicalities of bank and insurance M&A, and the book also shows how financial innovations can be used to optimise the capital position and how diversification effects are reflected in the capital position. This book will arm readers with the knowledge and skills needed to understand how capital management can improve capital structure and performance, achieving an optimal cost of, and return on capital, creating value as a result.

8137.57 RUR

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Frans de Weert An Introduction to Options Trading


Explaining the theory and practice of options from scratch, this book focuses on the practical side of options trading, and deals with hedging of options and how options traders earn money by doing so. Common terms in option theory are explained and readers are shown how they relate to profit. The book gives the necessary tools to deal with options in practice and it includes mathematical formulae to lift explanations from a superficial level. Throughout the book real-life examples will illustrate why investors use option structures to satisfy their needs.

5612.12 RUR

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Roman Hohl Marco Agricultural Risk Transfer. From Insurance to Reinsurance to Capital Markets


Gain a holistic view of agricultural (re)insurance and capital market risk transfer Increasing agricultural production and food security remain key challenges for mankind. In order to meet global food demand, the Food and Agriculture Organisation estimates that production has to increase by 50% by 2050 and requires large investments. Agricultural insurance and financial instruments have been an integral part to advancing productivity and are becoming more important in increasingly globalized and specialized agricultural supply chains in the wake of potentially more frequent and severe natural disasters in today’s key producing markets. Underwriting, pricing and transferring agricultural risks is complex and requires a solid understanding of the production system, exposure, perils and the most suitable products, which vastly differ among developed and developing markets. In the last decade, new insurance schemes in emerging agricultural markets have greatly contributed to the large growth of the industry from a premium volume of US$10.1 billion (2006) to US$30.7 billion (2017). This growth is bound to continue as insurance penetration and exposure increase and new schemes are being developed. Agricultural (re)insurance has become a cornerstone of sovereign disaster risk financing frameworks. Agricultural Risk Transfer introduces the main concepts of agricultural (re)insurance and capital market risk transfer that are discussed through industry case studies. It also discusses best industry practices for all main insurance products for crop, livestock, aquaculture and forestry risks including risk assessment, underwriting, pricing, modelling and loss adjustment. Describes agricultural production risks and risk management approaches Covers risk transfer of production and financial risks through insurance and financial instruments Introduces modelling concepts for the main perils and key data sources that support risk transfer through indemnity- and index-based products Describes risk pricing and underwriting approaches for crop, livestock, aquaculture and forestry exposure in developed and developing agricultural systems Become familiar with risk transfer concepts to reinsurance and capital markets Get to know the current market landscape and main risk transfer products for individual producers, agribusinesses and governments through theory and comprehensive industry case studies Through Agricultural Risk Transfer, you’ll gain a holistic view of agricultural (re)insurance and capital market solutions which will support better underwriting, more structured product development and improved risk transfer.

14030.3 RUR

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Household Insurance Box Mini Metal Safe Creative Piggy Bank Key Insurance Cabinet Desktop Decoration

Household Insurance Box Mini Metal Safe Creative Piggy Bank Key Insurance Cabinet Desktop Decoration

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Bank and Insurance Capital Management (Wiley Finance ...

Bank and Insurance Capital Management (Wiley Finance Series, Band 516) | de Weert, Frans | ISBN: 9780470664773 | Kostenloser Versand für alle Bücher mit Versand und Verkauf duch Amazon.

Bank and Insurance Capital Management | Wiley Online Books

FRANS DE WEERT is a mathematician by training with extensive research experience in quantitative finance. After his academic career he worked as an equity derivatives trader at Barclays Capital in London and New York. In his latest role he was responsible for the Latin American trading activities in equity derivatives. He subsequently moved on to become a strategy consultant at Booz & Company for which he advised senior management in the financial services industry. Currently Frans works as ...

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[(Bank and Insurance Capital Management)] [By (author) Frans De Weert] published on (January, 2011) | Frans De Weert | ISBN: | Kostenloser Versand für alle Bücher mit Versand und Verkauf duch Amazon.

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Bank and Insurance Capital Management by Frans de Weert (2010-12-13) | Frans de Weert | ISBN: | Kostenloser Versand für alle Bücher mit Versand und Verkauf duch Amazon.

Bank and Insurance Capital Management - Frans de Weert ...

Bank and Insurance Capital Management is an essential guide to help banks and insurance companies understand and manage their capital position. Bridging the gap between theory and practice, it provides proven techniques for managing bank capital, as well as explaining key capital management perspectives, including accounting, regulatory, risk and capital management and corporate finance. It ...

Bank and insurance capital management, Frans de Weert ...

Bank and insurance capital management, Frans de Weert, Chichester: Wiley Finance, 2011, 246pp. (hardback), £45.00. ISBN: 978-0-470-66477-3. - Volume 7 Issue 1 - Brett Malyon

Bank and Insurance Capital Management by Frans de Weert

Bank and Insurance Capital Management book. Read reviews from world’s largest community for readers. The book will show how to minimise risk whilst stil...

Wiley: Bank and Insurance Capital Management - Frans de Weert

FRANS DE WEERT is a mathematician by training with extensive research experience in quantitative finance. After his academic career he worked as an equity derivatives trader at Barclays Capital in London and New York. In his latest role he was responsible for the Latin American trading activities in equity derivatives. He subsequently moved on to become a strategy consultant at Booz & Company for which he advised senior management in the financial services industry. Currently Frans works as ...

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bol.com | Bank and Insurance Capital Management ...

Auteur: Frans De Weert. Uitgever: John Wiley & Sons Inc. Engels Hardcover 9780470664773 ... current crisis has exposed the shocking truth that very few practitioners actually understand the capital positions of banks and insurance companies, let alone have good, tried and tested methods of evaluating their capital position. The subject of capital management is deemed to be difficult but this ...

Bank and Insurance Capital Management: de Weert, Frans ...

"Frans de Weert has written an excellent and very welcome book on the broad subject of capital management in financial institutions. Capital management encompasses many fields: corporate governance, regulation, balance sheet management, treasury, corporate finance and shareholder value. Capital management can only be properly understood when the subject is approached from multiple viewpoints. Frans makes this refreshingly clear in his book. As a past practitioner of capital management at ING ...

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Bank and Insurance Capital Management - Frans De Weert ...

In the aftermath of the financial crisis, capital management has become a critical factor in value creation for banks and other financial institutions. Although complex and subject to regulatory change, the strategic importance of capital management became apparent during the crisis and has moved the subject to the top of corporate agendas. Bank and Insurance Capital Management is an essential ...

Bank and Insurance Capital Management by de Weert, Frans ...

Bank and Insurance Capital Management by Frans de Weert. In the aftermath of the financial crisis, capital management has become a critical factor in value creation for banks and other financial institutions. Although complex and subject to regulatory change, the strategic importance of capital management became apparent during the crisis and has moved the subject to the top of corporate ...

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Bank and Insurance Capital Management - ISBN ...

Bank and Insurance Capital Management - ISBN: 9780470976890 - (ebook) - von Frans de Weert, Verlag: Wiley

Bank and Insurance Capital Management : Frans De Weert ...

FRANS DE WEERT is a mathematician by training with extensive research experience in quantitative finance. After his academic career he worked as an equity derivatives trader at Barclays Capital in London and New York. In his latest role he was responsible for the Latin American trading activities in equity derivatives. He subsequently moved on to become a strategy consultant at Booz & Company for which he advised senior management in the financial services industry. Currently ...

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Frans de Weert Bank and Insurance Capital Management Gebonden Engels 2010. Verkooppositie 3039. Verwachte levertijd ongeveer 8 werkdagen 65,61 In winkelwagen. Samenvatting Specificaties Over de auteur Inhoudsopgave. Samenvatting. In the aftermath of the financial crisis, capital management has become a critical factor in value creation for banks and other financial institutions. Although ...

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Bank and Insurance Capital Management av De Weert Frans De ...

Pris: 619 kr. E-bok, 2011. Laddas ned direkt. Köp Bank and Insurance Capital Management av De Weert Frans De Weert på Bokus.com.

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Bank and Insurance Capital Management - Kindle edition by de Weert, Frans. Download it once and read it on your Kindle device, PC, phones or tablets. Use features like bookmarks, note taking and highlighting while reading Bank and Insurance Capital Management.

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FRANS DE WEERT is a mathematician by training with extensive research experience in quantitative finance. After his academic career he worked as an equity derivatives trader at Barclays Capital in London and New York. In his latest role he was responsible for the Latin American trading activities in equity derivatives. He subsequently moved on to become a strategy consultant at Booz & Company ...

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Read "Bank and Insurance Capital Management" by Frans de Weert available from Rakuten Kobo. In the aftermath of the financial crisis, capital management has become a critical factor in value creation for banks an...

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"Frans de Weert has written an excellent and very welcome book on the broad subject of capital management in financial institutions. Capital management encompasses many fields: corporate governance, regulation, balance sheet management, treasury, corporate finance and shareholder value. Capital management can only be properly understood when the subject is approached from multiple viewpoints. Frans makes this refreshingly clear in his book. As a past practitioner of capital management at ING ...

Bank and Insurance Capital Management (The Wiley Finance ...

Click to read more about Bank and Insurance Capital Management (The Wiley Finance Series) av Frans de Weert. LibraryThing is a cataloging and social networking site for booklovers

Frans de Weert - Risk.net

Frans de Weert is head of division at the Dutch Authority for the Financial Markets where he is responsible for, among others, data-driven supervision, behavioral insights and operational risk and IT. Prior to this, he was head of risk management and strategy at the Dutch Central Bank. Frans started his career as an equity derivatives trader at Barclays Capital in London and New York.

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Exotic Options Trading - E-bok - De Weert Frans De Weert ...

Written by an experienced trader and consultant, Frans de Weert s Exotic Options Trading offers a risk-focused approach to the pricing of exotic options. By giving readers the necessary tools to understand exotic options, this book serves as a manual to equip the reader with the skills to price and risk manage the most common and the most complex exotic options. De Weert begins by explaining ...

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Frans de Weerdt Special Painting Centre voor special paint of origineel spuitwerk via speciale airbrush techniek, voor motoren, auto's helmen etc. Frans de Weerdt is al 23 jaar een begrip in de airbrush / specialpaint wereld. Hij heeft met zijn werk al internationale bekendheid gekregen en was al diverse malen te zien op TV, o.a Heilige Koe , Nederland Motorland en Motorland. Veel foto's van ...

Danske Bank : Weitere dänische Bank wegen Geldwäsche im ...

Die Danske Bank hat Lücken bei ihren Vorkehrungen gegen Geldwäsche in Estland eingestanden. Die Ergebnisse ihrer eigenen Untersuchung, die die Jahre 2007 bis 2015 betrifft, will sie im September präsentieren. Bei der Einhaltung der Regeln (Compliance) soll der Danske Bank künftig der oberste Geldwäschebekämpfer der Deutschen Bank, Philippe Vollot, helfen. Er soll spätestens zum 1 ...

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"Frans de Weert has written an excellent and very welcome book on the broad subject of capital management in financial institutions. Capital management encompasses many fields: corporate governance, regulation, balance sheet management, treasury, corporate finance and shareholder value. Capital management can only be properly understood when the subject is approached from multiple viewpoints ...

Bank and Insurance Capital Management (English Edition ...

"Frans de Weert has written an excellent and very welcome book on the broad subject of capital management in financial institutions. Capital management encompasses many fields: corporate governance, regulation, balance sheet management, treasury, corporate finance and shareholder value. Capital management can only be properly understood when the subject is approached from multiple viewpoints ...

Introduction to Options Trading - E-bok - De Weert Frans ...

Pris: 439 kr. E-bok, 2011. Laddas ned direkt. Köp Introduction to Options Trading av De Weert Frans De Weert på Bokus.com.

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Frans de Weert | LibraryThing

Frans de Weert Author of Bank and Insurance Capital Management (The Wiley Finance Series) Includes the names: Frans De Weert. Members: Reviews: Popularity: Rating: Favorited: Events : 24: 0: 414,191 (5) 0: 0: organize | filter. Works by Frans de Weert. Bank and Insurance Capital Management (The Wiley Finance Series) 10 copies. Exotic Options Trading 8 copies. An Introduction to Options Trading ...

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Bank and Insurance Capital Management av Frans De Weert Inbunden, Engelska, 2010-11-05 743. Köp. Skickas inom 7-10 vardagar. ...

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Juan Ramirez Handbook of Basel III Capital. Enhancing Bank Capital in Practice


A deeper examination of Basel III for more effective capital enhancement The Handbook of Basel III Capital – Enhancing Bank Capital in Practice delves deep into the principles underpinning the capital dimension of Basel III to provide a more advanced understanding of real-world implementation. Going beyond the simple overview or model, this book merges theory with practice to help practitioners work more effectively within the regulatory framework, and utilise the complex rules to more effectively allocate and enhance capital. A European perspective covers the CRD IV directive and associated guidance, but practitioners across all jurisdictions will find value in the strategic approach to decisions surrounding business lines and assets; an emphasis on analysis urges banks to shed unattractive positions and channel capital toward opportunities that actually fit their risk and return profile. Real-world cases demonstrate successful capital initiatives as models for implementation, and in-depth guidance on Basel III rules equips practitioners to more effectively utilise this complex regulatory treatment. The specifics of Basel III implementation vary, but the underlying principles are effective around the world. This book expands upon existing guidance to provide a deeper working knowledge of Basel III utility, and the insight to use it effectively. Improve asset quality and risk and return profiles Adopt a strategic approach to capital allocation Compare Basel III implementation varies across jurisdictions Examine successful capital enhancement initiatives from around the world There is a popular misconception about Basel III being extremely conservative and a deterrent to investors seeking attractive returns. In reality, Basel III presents both the opportunity and a framework for banks to improve their assets and enhance overall capital – the key factor is a true, comprehensive understanding of the regulatory mechanisms. The Handbook of Basel III Capital – Enhancing Bank Capital in Practice provides advanced guidance for advanced practitioners, and real-world implementation insight.

8184.34 RUR

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Thomas Wilson C. Value and Capital Management. A Handbook for the Finance and Risk Functions of Financial Institutions


A value management framework designed specifically for banking and insurance The Value Management Handbook is a comprehensive, practical reference written specifically for bank and insurance valuation and value management. Spelling out how the finance and risk functions add value in their respective spheres, this book presents a framework for measuring – and more importantly, influencing – the value of the firm from the position of the CFO and CRO. Case studies illustrating value-enhancing initiatives are designed to help Heads of Strategy offer CEOs concrete ideas toward creating more value, and discussion of «hard» and «soft» skills put CFOs and CROs in a position to better influence strategy and operations. The challenge of financial services valuation is addressed in terms of the roles of risk and capital, and business-specific «value trees» demonstrate the source of successful value enhancement initiatives. While most value management resources fail to adequately address the unique role of risk and capital in banks, insurance, and asset management, this book fills the gap by providing concrete, business-specific information that connects management actions and value creation, helping readers to: Measure value accurately for more productive value-based management initiatives and evaluation of growth opportunities Apply a quantitative, risk-adjusted value management framework reconciled with the way financial services shares are valued by the market Develop a value set specific to the industry to inspire initiatives that increase the firm's value Study the quantitative and qualitative management frameworks that move CFOs and CROs from measurement to management The roles of CFO and CRO in financial firms have changed dramatically over the past decade, requiring business savvy and the ability to challenge the CEO. The Value Management Handbook provides the expert guidance that leads CFOs and CROs toward better information, better insight, and better decisions.

10132.99 RUR

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James Holding A Temporary Bind


Irresponsible spender (and bank robber) Michael decides to pull an insurance scam on his car. He has certain debts to pay off to a gang boss. It’s easy to organize the scam with the help of a chop shop owner and an insurance man, but it turns out they have plans of their own…

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