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Energy, environment, natural resources and business competitiveness [[electronic resource] ] : the fragility of interdependence / / Dimitris N. Chorafas
Energy, environment, natural resources and business competitiveness [[electronic resource] ] : the fragility of interdependence / / Dimitris N. Chorafas
Autore Chorafas Dimitris N
Pubbl/distr/stampa Farnham, England ; ; Burlington, Vt., : Gower, c2011
Descrizione fisica 1 online resource (387 p.)
Disciplina 333.79
Soggetto topico Energy development
Power resources - Economic aspects
Power resources - Environmental aspects
Energy policy
Soggetto genere / forma Electronic books.
ISBN 1-317-14362-0
1-317-14361-2
1-283-08953-X
9786613089533
0-566-09235-2
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto pt. 1. The pillars of a realistic energy policy -- pt. 2. Biofuels, the green and blue revolutions, and agricultural policy -- pt. 3. Business consequences of a deteriorating world environment -- pt. 4. The world's salient problem has not been solved -- pt. 5. Appendices.
Record Nr. UNINA-9910460257103321
Chorafas Dimitris N  
Farnham, England ; ; Burlington, Vt., : Gower, c2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Energy, environment, natural resources and business competitiveness [[electronic resource] ] : the fragility of interdependence / / Dimitris N. Chorafas
Energy, environment, natural resources and business competitiveness [[electronic resource] ] : the fragility of interdependence / / Dimitris N. Chorafas
Autore Chorafas Dimitris N
Pubbl/distr/stampa Farnham, England ; ; Burlington, Vt., : Gower, c2011
Descrizione fisica 1 online resource (387 p.)
Disciplina 333.79
Soggetto topico Energy development
Power resources - Economic aspects
Power resources - Environmental aspects
Energy policy
ISBN 1-315-57957-X
1-317-14362-0
1-317-14361-2
1-283-08953-X
9786613089533
0-566-09235-2
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto pt. 1. The pillars of a realistic energy policy -- pt. 2. Biofuels, the green and blue revolutions, and agricultural policy -- pt. 3. Business consequences of a deteriorating world environment -- pt. 4. The world's salient problem has not been solved -- pt. 5. Appendices.
Record Nr. UNINA-9910790100803321
Chorafas Dimitris N  
Farnham, England ; ; Burlington, Vt., : Gower, c2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Energy, environment, natural resources and business competitiveness [[electronic resource] ] : the fragility of interdependence / / Dimitris N. Chorafas
Energy, environment, natural resources and business competitiveness [[electronic resource] ] : the fragility of interdependence / / Dimitris N. Chorafas
Autore Chorafas Dimitris N
Pubbl/distr/stampa Farnham, England ; ; Burlington, Vt., : Gower, c2011
Descrizione fisica 1 online resource (387 p.)
Disciplina 333.79
Soggetto topico Energy development
Power resources - Economic aspects
Power resources - Environmental aspects
Energy policy
ISBN 1-315-57957-X
1-317-14362-0
1-317-14361-2
1-283-08953-X
9786613089533
0-566-09235-2
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto pt. 1. The pillars of a realistic energy policy -- pt. 2. Biofuels, the green and blue revolutions, and agricultural policy -- pt. 3. Business consequences of a deteriorating world environment -- pt. 4. The world's salient problem has not been solved -- pt. 5. Appendices.
Record Nr. UNINA-9910819952103321
Chorafas Dimitris N  
Farnham, England ; ; Burlington, Vt., : Gower, c2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
IFRS, fair value and corporate governance [[electronic resource] ] : the impact on budgets, balance sheets and management accounts / / Dimitris N. Chorafas
IFRS, fair value and corporate governance [[electronic resource] ] : the impact on budgets, balance sheets and management accounts / / Dimitris N. Chorafas
Autore Chorafas Dimitris N
Edizione [1st ed.]
Pubbl/distr/stampa Oxford ; ; Burlington, MA, : Elsevier, 2006
Descrizione fisica 1 online resource (497 p.)
Disciplina 657
657.0218
Soggetto topico Accounting - Standards
Financial statements - Standards
Fair value - Accounting
Corporate governance
Soggetto genere / forma Electronic books.
ISBN 1-280-64245-9
9786610642458
0-08-046166-2
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; IFRS, Fair Value and Corporate Governance; Contents; Preface; Selected Abbreviations; New Rules of Competition and Accounting Standards; The International Accounting Standards Board and Corporate Governance; Dynamics of International Financial Reporting Standards; The Controversy over IAS 39; IAS 39 and the Recognition of Derivatives Risk; Project Management for Implementation of IFRS; An IFRS Task Force Case Study. Top Management Responsibility; Management Accounting and Corporate Governance; Budgeting: A Case Study on Financial Planning; Valuing Assets: The Challenge of Being 'Right'
Business Ethics Add Value to Financial Disclosures Forward-Looking Statements, Models, Earnings, and Goodwill; Balance Sheets and Income Statements as Management Tools; Economic Capital Is on Both Sides of the Balance Sheet; The Real-Time Management Report; Internal Control, Stress Testing, and Effective Risk Management; The Role of the Audit Committee; Index
Record Nr. UNINA-9910457944903321
Chorafas Dimitris N  
Oxford ; ; Burlington, MA, : Elsevier, 2006
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
IFRS, fair value and corporate governance [[electronic resource] ] : the impact on budgets, balance sheets and management accounts / / Dimitris N. Chorafas
IFRS, fair value and corporate governance [[electronic resource] ] : the impact on budgets, balance sheets and management accounts / / Dimitris N. Chorafas
Autore Chorafas Dimitris N
Edizione [1st ed.]
Pubbl/distr/stampa Oxford ; ; Burlington, MA, : Elsevier, 2006
Descrizione fisica 1 online resource (497 p.)
Disciplina 657
657.0218
Soggetto topico Accounting - Standards
Financial statements - Standards
Fair value - Accounting
Corporate governance
ISBN 1-280-64245-9
9786610642458
0-08-046166-2
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; IFRS, Fair Value and Corporate Governance; Contents; Preface; Selected Abbreviations; New Rules of Competition and Accounting Standards; The International Accounting Standards Board and Corporate Governance; Dynamics of International Financial Reporting Standards; The Controversy over IAS 39; IAS 39 and the Recognition of Derivatives Risk; Project Management for Implementation of IFRS; An IFRS Task Force Case Study. Top Management Responsibility; Management Accounting and Corporate Governance; Budgeting: A Case Study on Financial Planning; Valuing Assets: The Challenge of Being 'Right'
Business Ethics Add Value to Financial Disclosures Forward-Looking Statements, Models, Earnings, and Goodwill; Balance Sheets and Income Statements as Management Tools; Economic Capital Is on Both Sides of the Balance Sheet; The Real-Time Management Report; Internal Control, Stress Testing, and Effective Risk Management; The Role of the Audit Committee; Index
Record Nr. UNINA-9910784366403321
Chorafas Dimitris N  
Oxford ; ; Burlington, MA, : Elsevier, 2006
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
IFRS, fair value and corporate governance : the impact on budgets, balance sheets and management accounts / / Dimitris N. Chorafas
IFRS, fair value and corporate governance : the impact on budgets, balance sheets and management accounts / / Dimitris N. Chorafas
Autore Chorafas Dimitris N
Edizione [1st ed.]
Pubbl/distr/stampa Oxford ; ; Burlington, MA, : Elsevier, 2006
Descrizione fisica 1 online resource (497 p.)
Disciplina 657
657.0218
Soggetto topico Accounting - Standards
Financial statements - Standards
Fair value - Accounting
Corporate governance
ISBN 1-280-64245-9
9786610642458
0-08-046166-2
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; IFRS, Fair Value and Corporate Governance; Contents; Preface; Selected Abbreviations; New Rules of Competition and Accounting Standards; The International Accounting Standards Board and Corporate Governance; Dynamics of International Financial Reporting Standards; The Controversy over IAS 39; IAS 39 and the Recognition of Derivatives Risk; Project Management for Implementation of IFRS; An IFRS Task Force Case Study. Top Management Responsibility; Management Accounting and Corporate Governance; Budgeting: A Case Study on Financial Planning; Valuing Assets: The Challenge of Being 'Right'
Business Ethics Add Value to Financial Disclosures Forward-Looking Statements, Models, Earnings, and Goodwill; Balance Sheets and Income Statements as Management Tools; Economic Capital Is on Both Sides of the Balance Sheet; The Real-Time Management Report; Internal Control, Stress Testing, and Effective Risk Management; The Role of the Audit Committee; Index
Record Nr. UNINA-9910809964503321
Chorafas Dimitris N  
Oxford ; ; Burlington, MA, : Elsevier, 2006
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Quality Control Applications [[electronic resource] /] / by Dimitris N. Chorafas
Quality Control Applications [[electronic resource] /] / by Dimitris N. Chorafas
Autore Chorafas Dimitris N
Edizione [1st ed. 2013.]
Pubbl/distr/stampa London : , : Springer London : , : Imprint : Springer, , 2013
Descrizione fisica 1 online resource (327 p.)
Disciplina 658.5
658.562
Collana Springer Series in Reliability Engineering
Soggetto topico Quality control
Reliability
Industrial safety
Industrial organization
Engineering economics
Engineering economy
Quality Control, Reliability, Safety and Risk
Industrial Organization
Engineering Economics, Organization, Logistics, Marketing
ISBN 1-283-61194-5
9786613924391
1-4471-2966-0
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Part One: Product Quality.-1.Product Assurance -- 2.Quality Control -- 3.Designing for Quality -- Part Two: Service Quality -- 4.Service Assurance. A Case Study -- 5.Man-Made Catastrophes are the Result of Wanting Service Assurance -- Part Three: Product Reliability -- 6.Reliability Assurance -- 7. Reliability and Life-Cycle Maintenance -- Part Four: Statistical Inference -- 8. A Brief Introduction to Stochastic Thinking -- 9.Sampling Methods -- 10.Operating Characteristic Curves -- 11.Experimental Design and Latin Squares -- Part Five: Statistical Quality Control -- 12.Fundametnals of Statistical Quality Inspection -- 13. Quality Control Charts By Variables -- 14.Quality Control Charts by Attributes -- 15.The Culture of Statistical Quality Control.
Record Nr. UNINA-9910437892303321
Chorafas Dimitris N  
London : , : Springer London : , : Imprint : Springer, , 2013
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Risk management technology in financial services [[electronic resource] ] : risk control, stress testing, models, and IT systems and structures / / Dimitris N. Chorafas
Risk management technology in financial services [[electronic resource] ] : risk control, stress testing, models, and IT systems and structures / / Dimitris N. Chorafas
Autore Chorafas Dimitris N
Edizione [1st ed.]
Pubbl/distr/stampa Burlington, MA. ; ; Oxford, : Butterworth-Heinemann, 2007
Descrizione fisica 1 online resource (353 p.)
Disciplina 332.10684
Collana Elsevier finance
Soggetto topico Financial services industry - Information resources management
Financial services industry
Risk management
Soggetto genere / forma Electronic books.
ISBN 1-281-01474-5
9786611014742
0-08-049809-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Front Cover; Risk Management Technology in Financial Services; Copyright Page; Table of Contents; Foreword; Preface; PART 1 Innovation, risk and return; Chapter 1 Innovation in finance; 1.1 Financial systems and innovation; 1.2 Laboratories for brilliant new ideas; 1.3 Challenging the obvious; 1.4 Strategic choices and unintended consequences; 1.5 Salient problems and management decisions; 1.6 Business leadership; 1.7 Information technology. Does it really matter?; Chapter 2 What is meant by risk management?; 2.1 Risk and risk factors; 2.2 Risk management
2.3 Types of risk and their transparency 2.4 Board of directors and risk organization; 2.5 Internal control. The feedback channel; 2.6 Auditing and risk management; Chapter 3 Complexity of risk control with derivatives; 3.1 Derivatives defined; 3.2 Derivatives exposure; 3.3 110 trillion in notional principal amount; 3.4 Derivative instruments for credit risk transfer; 3.5 Proactive risk management; 3.6 Levels of inspection, demodulation and stress testing; 3.7 Effective management control starts at the top; Chapter 4 Integrating risk management through an enterprise architecture
4.1 Choosing a risk-based architecture 4.2 Funding tactics. An enterprise risk management application; 4.3 Developing an integrated risk management system; 4.4 End-to-end architectural solutions; 4.5 Integrating stress testing into enterprise risk management; 4.6 The importance of the human component should never be underrated; Chapter 5 Case studies on big product problems that went unattended; 5.1 The role of character in the control of risk; 5.2 British Petroleum. Pipeline risk; 5.3 Telecom Italia. Political risk; 5.4 Ford and General Motors. Management risk
5.5 EADS. Management risk European style 5.6 The product problems of Long-Term Capital Management; 5.7 Legal risk embedded in financial products; PART 2 Risk control methodology and advanced models; Chapter 6 A methodology for risk management; 6.1 The sense of having a methodology; 6.2 Applying the physicist's method; 6.3 Dissent, negation and reconstruction; 6.4 Credit risk methodology. A practical example; 6.5 A methodology for integrated risk control; 6.6 Organization and structure for risk management; Chapter 7 The contribution of models to experimentation; 7.1 Introduction
7.2 The development of mathematical science 7.3 Abstraction, analysis, signs and rules; 7.4 Notion of a mathematical system; 7.5 Modelling discipline and analytics; 7.6 From classical testing to stress testing; 7.7 Anomalies and asymmetries; Chapter 8 Simulation; 8.1 Introduction; 8.2 The art of simulation; 8.3 The Monte Carlo method; 8.4 Practical applications of Monte Carlo; 8.5 Simulation studies and system engineering; 8.6 Simulation's deliverables; Chapter 9 Using knowledge engineering for risk control; 9.1 Knowledge engineering, object knowledge and metaknowledge
9.2 Errors and uncertainty can be both friend and foe
Record Nr. UNINA-9910457669903321
Chorafas Dimitris N  
Burlington, MA. ; ; Oxford, : Butterworth-Heinemann, 2007
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Risk management technology in financial services [[electronic resource] ] : risk control, stress testing, models, and IT systems and structures / / Dimitris N. Chorafas
Risk management technology in financial services [[electronic resource] ] : risk control, stress testing, models, and IT systems and structures / / Dimitris N. Chorafas
Autore Chorafas Dimitris N
Edizione [1st ed.]
Pubbl/distr/stampa Burlington, MA. ; ; Oxford, : Butterworth-Heinemann, 2007
Descrizione fisica 1 online resource (353 p.)
Disciplina 332.10684
Collana Elsevier finance
Soggetto topico Financial services industry - Information resources management
Financial services industry
Risk management
ISBN 1-281-01474-5
9786611014742
0-08-049809-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Front Cover; Risk Management Technology in Financial Services; Copyright Page; Table of Contents; Foreword; Preface; PART 1 Innovation, risk and return; Chapter 1 Innovation in finance; 1.1 Financial systems and innovation; 1.2 Laboratories for brilliant new ideas; 1.3 Challenging the obvious; 1.4 Strategic choices and unintended consequences; 1.5 Salient problems and management decisions; 1.6 Business leadership; 1.7 Information technology. Does it really matter?; Chapter 2 What is meant by risk management?; 2.1 Risk and risk factors; 2.2 Risk management
2.3 Types of risk and their transparency 2.4 Board of directors and risk organization; 2.5 Internal control. The feedback channel; 2.6 Auditing and risk management; Chapter 3 Complexity of risk control with derivatives; 3.1 Derivatives defined; 3.2 Derivatives exposure; 3.3 110 trillion in notional principal amount; 3.4 Derivative instruments for credit risk transfer; 3.5 Proactive risk management; 3.6 Levels of inspection, demodulation and stress testing; 3.7 Effective management control starts at the top; Chapter 4 Integrating risk management through an enterprise architecture
4.1 Choosing a risk-based architecture 4.2 Funding tactics. An enterprise risk management application; 4.3 Developing an integrated risk management system; 4.4 End-to-end architectural solutions; 4.5 Integrating stress testing into enterprise risk management; 4.6 The importance of the human component should never be underrated; Chapter 5 Case studies on big product problems that went unattended; 5.1 The role of character in the control of risk; 5.2 British Petroleum. Pipeline risk; 5.3 Telecom Italia. Political risk; 5.4 Ford and General Motors. Management risk
5.5 EADS. Management risk European style 5.6 The product problems of Long-Term Capital Management; 5.7 Legal risk embedded in financial products; PART 2 Risk control methodology and advanced models; Chapter 6 A methodology for risk management; 6.1 The sense of having a methodology; 6.2 Applying the physicist's method; 6.3 Dissent, negation and reconstruction; 6.4 Credit risk methodology. A practical example; 6.5 A methodology for integrated risk control; 6.6 Organization and structure for risk management; Chapter 7 The contribution of models to experimentation; 7.1 Introduction
7.2 The development of mathematical science 7.3 Abstraction, analysis, signs and rules; 7.4 Notion of a mathematical system; 7.5 Modelling discipline and analytics; 7.6 From classical testing to stress testing; 7.7 Anomalies and asymmetries; Chapter 8 Simulation; 8.1 Introduction; 8.2 The art of simulation; 8.3 The Monte Carlo method; 8.4 Practical applications of Monte Carlo; 8.5 Simulation studies and system engineering; 8.6 Simulation's deliverables; Chapter 9 Using knowledge engineering for risk control; 9.1 Knowledge engineering, object knowledge and metaknowledge
9.2 Errors and uncertainty can be both friend and foe
Record Nr. UNINA-9910784349503321
Chorafas Dimitris N  
Burlington, MA. ; ; Oxford, : Butterworth-Heinemann, 2007
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Risk management technology in financial services : risk control, stress testing, models, and IT systems and structures / / Dimitris N. Chorafas
Risk management technology in financial services : risk control, stress testing, models, and IT systems and structures / / Dimitris N. Chorafas
Autore Chorafas Dimitris N
Edizione [1st ed.]
Pubbl/distr/stampa Burlington, MA. ; ; Oxford, : Butterworth-Heinemann, 2007
Descrizione fisica 1 online resource (353 p.)
Disciplina 332.10684
Collana Elsevier finance
Soggetto topico Financial services industry - Information resources management
Financial services industry
Risk management
ISBN 1-281-01474-5
9786611014742
0-08-049809-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Front Cover; Risk Management Technology in Financial Services; Copyright Page; Table of Contents; Foreword; Preface; PART 1 Innovation, risk and return; Chapter 1 Innovation in finance; 1.1 Financial systems and innovation; 1.2 Laboratories for brilliant new ideas; 1.3 Challenging the obvious; 1.4 Strategic choices and unintended consequences; 1.5 Salient problems and management decisions; 1.6 Business leadership; 1.7 Information technology. Does it really matter?; Chapter 2 What is meant by risk management?; 2.1 Risk and risk factors; 2.2 Risk management
2.3 Types of risk and their transparency 2.4 Board of directors and risk organization; 2.5 Internal control. The feedback channel; 2.6 Auditing and risk management; Chapter 3 Complexity of risk control with derivatives; 3.1 Derivatives defined; 3.2 Derivatives exposure; 3.3 110 trillion in notional principal amount; 3.4 Derivative instruments for credit risk transfer; 3.5 Proactive risk management; 3.6 Levels of inspection, demodulation and stress testing; 3.7 Effective management control starts at the top; Chapter 4 Integrating risk management through an enterprise architecture
4.1 Choosing a risk-based architecture 4.2 Funding tactics. An enterprise risk management application; 4.3 Developing an integrated risk management system; 4.4 End-to-end architectural solutions; 4.5 Integrating stress testing into enterprise risk management; 4.6 The importance of the human component should never be underrated; Chapter 5 Case studies on big product problems that went unattended; 5.1 The role of character in the control of risk; 5.2 British Petroleum. Pipeline risk; 5.3 Telecom Italia. Political risk; 5.4 Ford and General Motors. Management risk
5.5 EADS. Management risk European style 5.6 The product problems of Long-Term Capital Management; 5.7 Legal risk embedded in financial products; PART 2 Risk control methodology and advanced models; Chapter 6 A methodology for risk management; 6.1 The sense of having a methodology; 6.2 Applying the physicist's method; 6.3 Dissent, negation and reconstruction; 6.4 Credit risk methodology. A practical example; 6.5 A methodology for integrated risk control; 6.6 Organization and structure for risk management; Chapter 7 The contribution of models to experimentation; 7.1 Introduction
7.2 The development of mathematical science 7.3 Abstraction, analysis, signs and rules; 7.4 Notion of a mathematical system; 7.5 Modelling discipline and analytics; 7.6 From classical testing to stress testing; 7.7 Anomalies and asymmetries; Chapter 8 Simulation; 8.1 Introduction; 8.2 The art of simulation; 8.3 The Monte Carlo method; 8.4 Practical applications of Monte Carlo; 8.5 Simulation studies and system engineering; 8.6 Simulation's deliverables; Chapter 9 Using knowledge engineering for risk control; 9.1 Knowledge engineering, object knowledge and metaknowledge
9.2 Errors and uncertainty can be both friend and foe
Record Nr. UNINA-9910817835303321
Chorafas Dimitris N  
Burlington, MA. ; ; Oxford, : Butterworth-Heinemann, 2007
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui