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Risk Management and Insurance (Int'l Ed) - Scott E Harrington, Gregory R Niehaus

Risk Management and Insurance (Int'l Ed)

Buch | Softcover
704 Seiten
2003 | 2nd edition
McGraw Hill Higher Education (Verlag)
978-0-07-123244-9 (ISBN)
CHF 97,60 inkl. MwSt
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Provides the general principles of risk management and insurance and provides useful aspects of insurance contracts and the insurance industry. This book provides conceptual analysis and attention to business risk management and public policy issues.
Harrington/Niehaus’ Risk Management and Insurance 2e develops general principles or risk management and insurance and provides the essential aspects of insurance contracts and the insurance industry. It provides substantially more conceptual analysis and attention to business risk management and public policy issues than exists in current texts.

W. Frank Hipp Professor of Insurance and Professor of Finance in the Moore School of Business at the University of South Carolina. He received his Ph.D. in Finance from the University of Illinois in 1979 and was on the faculty of the Wharton School at the University of Pennsylvania during 1978-88. Dr. Harrington has authored and edited many books and published numerous articles in academic and professional journals. A frequent speaker on insurance markets and regulation, he has consulted for many leading insurance organizations and is former President of both the American Risk and Insurance Association and the Risk Theory Society. He was named the 1990 Insurance Educator of the Year by the Professional Insurance Agents Foundation. Greg Niehaus is Professor of Insurance and Finance in the Moore School of Business at the University of South Carolina. He received his Ph.D. in Economics from Washington University in 1985. From 1985-90, he was on the finance faculty at the University of Michigan and from 1996-97 he held the A.J. Pasant Chair of Life Insurance and Financial Services at Michigan State University. He has published articles in the Journal of Risk and Insurance, the Journal of Finance, the Journal of Financial Economics, the Journal of Business, the Journal of Banking and Finance, Financial Management, The Accounting Review, and the Journal of Insurance Regulation. He has won several teaching awards in the Moore School. In 2000, he became Chair of the Banking, Finance, Insurance, and Real Estate Department.

1. Risk and Its Management
2. Objectives of Risk Management
3. Risk Identification and Measurement
4. Pooling Arrangements and Diversification of Risk
5. Insurer Ownership, Financial, and Operational Structure
6. Insurance Regulation
7. Insolvencies, Solvency Ratings,and Solvency Regulation
8. Insurance Pricing
9. Risk Aversion and Risk Management by Individuals and Corporations
10. Insurability of Risk, Contractual Provisions, and Legal Doctrines
11. Loss Control
12 Legal Liability for Injuries
13. Automobile Insurance
14. Homeowners Insurance
15. Life Insurance and Annuities
16. Employee Benefits: Overview and Group Medical Coverage
17. Retirement Plans
18. Workers' Compensation and Employee Injuries
19. Social Security
20. Corporate Risk Management and Shareholder Wealth
21. Tax, Regulatory, and Accounting Factors Affecting Corporate Risk Management
22. Risk Retention/Reduction Decisions
23. Commercial Insurance Contracts
24. Hedging Risk with Derivative Contracts
25. Alternative Risk Transfer
26. Analysis Tools used in Corporate Risk Management
27. Enterprise Risk Management: A Case Study
28. Corporate Liability to Customers, Third Parties, and Shareholders
29. Issues in Liability Risk and It's Management

Reihe/Serie The McGraw-Hill/Irwin-Series in Finance, Insurance, and Real Estate
Zusatzinfo Illustrations, ports.
Verlagsort London
Sprache englisch
Maße 188 x 233 mm
Gewicht 1 g
Themenwelt Betriebswirtschaft / Management Spezielle Betriebswirtschaftslehre Versicherungsbetriebslehre
Wirtschaft Betriebswirtschaft / Management Unternehmensführung / Management
ISBN-10 0-07-123244-3 / 0071232443
ISBN-13 978-0-07-123244-9 / 9780071232449
Zustand Neuware
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