02169nam 2200361z- 450 99104040646033212021021182-15-03734-8(CKB)4100000011302408(oapen)https://directory.doabooks.org/handle/20.500.12854/51854(oapen)doab51854(EXLCZ)99410000001130240820202102d2020 |y 0norurmn|---annantxtrdacontentcrdamediacrrdacarrierLitteratur som erfaring - Modernisme og modernitet fra Obstfelder til KjærstadScandinavian University Press (Universitetsforlaget)20201 online resource (228 p.)82-15-03733-X I denne boken tegner John Brumo et nytt bilde av den norske litterære modernismen. Brumo viser hvordan den norske modernismen vokste fram i en tid der det norske samfunnet gikk gjennom store endringer, og hvordan forfatterne beskrev en ny, moderne virkelighet dominert av nye fenomener som fotografi, radio, bil, tv og datateknologi. Der tidligere framstillinger har sett den norske modernismen som en importert stilart, viser Brumo gjennom nærlesninger av de største norske modernistene hvordan de formet, og ble formet av, sentrale brytninger i det raskt endrede samfunnet de levde og virket i. Boken er bygget opp som en artikkelsamling som veksler mellom dypdykk i enkeltverk og kartlegging av de bredere historiske rammene som har lagt føringer for framveksten av den norske modernismen. Samlingen tar for seg arbeidene til sentrale forfattere som Sigbjørn Obstfelder, Rolf Jacobsen og Kjartan Fløgstad, men løfter også fram mindre kjente og til dels forsømte navn som Paal Brekke, Sverre Udnæs og Marie Takvam.Mathematics and SciencebicsscLitteraturmodernismemodernitetMathematics and ScienceJohn Brumoauth1294288BOOK9910404064603321Litteratur som erfaring - Modernisme og modernitet fra Obstfelder til Kjærstad3023085UNINA05509nam 2200805 a 450 991102017190332120200520144314.09786612113673978128211367112821136749781118267066111826706097804704518850470451882(CKB)1000000000719549(EBL)427734(SSID)ssj0000215355(PQKBManifestationID)11199329(PQKBTitleCode)TC0000215355(PQKBWorkID)10187625(PQKB)10839675(MiAaPQ)EBC427734(WaSeSS)IndRDA00117708(OCoLC)773301867(CaSebORM)9780470451892(OCoLC)794596678(OCoLC)ocn794596678 (FR-PaCSA)88944675(FRCYB88944675)88944675(Perlego)1008778(EXLCZ)99100000000071954920080904d2009 uy 0engur|n|---|||||txtccrOperational risk toward Basel III best practices and issues in modeling, management and regulation /[edited by] Greg N. Gregoriou1st editionHoboken, N.J. John Wiley & Sonsc20091 online resource (528 p.)Wiley finance seriesDescription based upon print version of record.9780470451892 0470451890 9780470390146 047039014X Includes bibliographical references and index.Operational Risk Toward Basel III: Best Practices and Issues in Modeling, Management, and Regulation; Contents; Foreword; About the Editor; Acknowledgments; About the Contributors; PART One: Operational Risk Measurement: Qualitative Approaches; CHAPTER 1: Modeling Operational Risk Based on Multiple Experts' Opinions; CHAPTER 2: Consistent Quantitative Operational Risk Measurement; CHAPTER 3: Operational Risk Based on Complementary Loss Evaluations; CHAPTER 4: Can Operational Risk Models Deal with Unprecedented Large Banking Losses?CHAPTER 5: Identifying and Mitigating Perceived Risks in the Bank Service Chain: A New Formalization Effort to Address the Intangible and Heterogeneous Natures of Knowledge-Based ServicesCHAPTER 6: Operational Risk and Stock Market Returns: Evidence from Turkey; PART Two: Operational Risk Measurement: Quantitative Approaches; CHAPTER 7: Integrating Op Risk into Total VaR; CHAPTER 8: Importance Sampling Techniques for Large Quantile Estimation in the Advanced Measurement Approach; CHAPTER 9: One-Sided Cross-Validation for Density Estimation with an Application to Operational RiskCHAPTER 10: Multivariate Models for Operational Risk: A Copula Approach Using Extreme Value Theory and Poisson Shock ModelsCHAPTER 11: First-Order Approximations to Operational Risk: Dependence and Consequences; PART Three: Operational Risk Management and Mitigation; CHAPTER 12: Integrating "Management" into "OpRisk Management"; CHAPTER 13: Operational Risk Management: An Emergent Industry; CHAPTER 14: OpRisk Insurance as a Net Value Generator; CHAPTER 15: Operational Risk Versus Capital Requirements under New Italian Banking Capital Regulation: Are Small Banks Penalized?CHAPTER 16: Simple Measures for Operational Risk Reduction? An Assessment of Implications and DrawbacksPART Four: Issues in Operational Risk Regulation and the Fund Industry; CHAPTER 17: Toward an Economic and Regulatory Benchmarking Indicator for Banking Systems; CHAPTER 18: Operational Risk Disclosure in Financial Services Firms; CHAPTER 19: Operational Risks in Payment and Securities Settlement Systems: A Challenge for Operators and Regulators; CHAPTER 20: Actual and Potential Use of Unregulated Financial Institutions for Transnational CrimeCHAPTER 21: Case Studies in Hedge Fund Operational Risks: From Amaranth to Wood RiverCHAPTER 22: A Risk of Ruin Approach for Evaluating Commodity Trading Advisors; CHAPTER 23: Identifying and Mitigating Valuation Risk in Hedge Fund Investments; IndexThis 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 cWiley finance series.Banks and banking, InternationalRisk managementBank capitalMathematical modelsFinancial risk managementMathematical modelsBanks and banking, InternationalRisk management.Bank capitalMathematical models.Financial risk managementMathematical models.332.1068/1Gregoriou Greg N.1956-887648MiAaPQMiAaPQMiAaPQBOOK9911020171903321Operational risk toward Basel III4418598UNINA