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Risk Management: The Bottleneck is at the Top of the Bottle by D. Chorafas (Engl
US $123.68
ApproximatelyPHP 6,955.74
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eBay item number:395144494621
Item specifics
- Condition
- Brand New: A new, unread, unused book in perfect condition with no missing or damaged pages. See all condition definitionsopens in a new window or tab
- ISBN-13
- 9781403921437
- Book Title
- Risk Management
- ISBN
- 9781403921437
- Subject Area
- Business & Economics
- Publication Name
- Risk Management : the Bottleneck Is at the Top of the Bottle
- Publisher
- Palgrave Macmillan The Limited
- Item Length
- 3.4 in
- Subject
- Business Ethics, Finance / General, Decision-Making & Problem Solving, Accounting / General, General, International / General, Corporate Finance / General
- Publication Year
- 2003
- Type
- Textbook
- Format
- Hardcover
- Language
- English
- Item Height
- 0.3 in
- Item Weight
- 16.8 Oz
- Item Width
- 5.7 in
- Number of Pages
- Xiii, 241 Pages
About this product
Product Identifiers
Publisher
Palgrave Macmillan The Limited
ISBN-10
1403921431
ISBN-13
9781403921437
eBay Product ID (ePID)
5935408
Product Key Features
Number of Pages
Xiii, 241 Pages
Publication Name
Risk Management : the Bottleneck Is at the Top of the Bottle
Language
English
Publication Year
2003
Subject
Business Ethics, Finance / General, Decision-Making & Problem Solving, Accounting / General, General, International / General, Corporate Finance / General
Type
Textbook
Subject Area
Business & Economics
Format
Hardcover
Dimensions
Item Height
0.3 in
Item Weight
16.8 Oz
Item Length
3.4 in
Item Width
5.7 in
Additional Product Features
Intended Audience
Scholarly & Professional
LCCN
2003-056341
Dewey Edition
21
Number of Volumes
1 vol.
Illustrated
Yes
Dewey Decimal
658.15/5
Table Of Content
List of Figures and Tables Preface Acknowledgements PART I: MANAGEMENT'S RESPONSIBILITY TOWARDS THE SHAREHOLDERS Senior Management Ethics and Personal Accountability Mismanagement and the Firing of a Bad CEO Creative Accounting, EBITDA and Core Earnings The Misleading of Investors Top Management Pay and Options Responsibilities of Certified Public Accountants and of the Board PART II: A HIGHLY LEVERAGED COMPANY, ITS TRADES, ITS ACCOUNTS AND ITS BANKS Enron: The End of an Empire Assigning the Blame for Enron The Bankers of Enron Trading and the Risks of Derivatives Exposure Investors, the Securitization of Bad Loans and the Probability of Default PART III: PROBLEMS DON'T DISAPPEAR BECAUSE THEY ARE IGNORED Case Studies of Banks which are Finding the Going Tough Notes Index
Synopsis
The author outlines the reasons why management risk must be examined within the perspective of each company's business challenges. He suggests there is a synergy between shareholder value and business ethics. He also underlines the importance of honesty, the risks associated with short-sighted management and over-centralization, the benefits of innovative strategies and senior management's accountability for reliable financial reporting. The text is based on an extensive research project done by the author between 2000 and 2002 in the US, the UK, France, Italy and Switzerland., The author outlines the reasons why management risk must be examined within the perspective of each company's business challenges. He suggests there is a synergy between shareholder value and business ethics. He also underlines the importance of honesty, the risks associated with short-sighted management and over-centralisation, the benefits of innovative strategies and senior management's accountability for reliable financial reporting. The text is based on an extensive research project done by the author between 2000 and 2002 in the US, the UK, France, Italy and Switzerland., List of Figures and Tables Preface Acknowledgements PART I: MANAGEMENT'S RESPONSIBILITY TOWARDS THE SHAREHOLDERS Senior Management Ethics and Personal Accountability Mismanagement and the Firing of a Bad CEO Creative Accounting, EBITDA and Core Earnings The Misleading of Investors Top Management Pay and Options Responsibilities of Certified Public Accountants and of the Board PART II: A HIGHLY LEVERAGED COMPANY, ITS TRADES, ITS ACCOUNTS AND ITS BANKS Enron: The End of an Empire Assigning the Blame for Enron The Bankers of Enron Trading and the Risks of Derivatives Exposure Investors, the Securitization of Bad Loans and the Probability of Default PART III: PROBLEMS DON'T DISAPPEAR BECAUSE THEY ARE IGNORED Case Studies of Banks which are Finding the Going Tough Notes Index
LC Classification Number
HF5601-5688
Item description from the seller
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- t***c (1272)- Feedback left by buyer.Past monthVerified purchasePerfect
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- s***j (1273)- Feedback left by buyer.Past monthVerified purchaseG.D. Pickering's books are one of those that you can't put down until you finish it! Lots of accounts from readers about their OWN encounters. These books are addicting, so if you're like me, and cannot wait until another one ships, I suggest buy a few at a time then, a few more, etc.... If you're undecided, buy just 1. You won't regret it