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  • Water Risk Modeling: Developing Risk-Return Management Techniques in Finance and Beyond

    Water Risk Modeling by Gramlich, Dieter; Walker, Thomas; Michaeli, Maya; Esme Frank, Charlotte;

    Developing Risk-Return Management Techniques in Finance and Beyond

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      • Publisher's listprice EUR 181.89
      • The price is estimated because at the time of ordering we do not know what conversion rates will apply to HUF / product currency when the book arrives. In case HUF is weaker, the price increases slightly, in case HUF is stronger, the price goes lower slightly.

        75 438 Ft (71 846 Ft + 5% VAT)
      • Discount 20% (cc. 15 088 Ft off)
      • Discounted price 60 351 Ft (57 477 Ft + 5% VAT)

    75 438 Ft

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    Delivery time is estimated on our previous experiences. We give estimations only, because we order from outside Hungary, and the delivery time mainly depends on how quickly the publisher supplies the book. Faster or slower deliveries both happen, but we do our best to supply as quickly as possible.

    Product details:

    • Edition number 1st ed. 2023
    • Publisher Springer International Publishing
    • Date of Publication 18 February 2023
    • Number of Volumes 1 pieces, Book

    • ISBN 9783031238109
    • Binding Hardback
    • No. of pages367 pages
    • Size 210x148 mm
    • Weight 642 g
    • Language English
    • Illustrations XXV, 367 p. 49 illus., 43 illus. in color. Illustrations, black & white
    • 430

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    Long description:

    This book sheds light on the topic of financial water risk by examining the modeling challenges associated with physical, regulatory, and reputational water risk in finance. It explores various approaches to operationalize water risk from a financial analysis, investment management, and climate science perspective. The analysis of tools to assess water risk provides the basis for the development of appropriate risk-return management techniques in finance and beyond. This book provides new insights by focusing on financial water threats and their related opportunities. It will be of interest to both academics and practitioners who work at the interface of finance, economics, nature, and society.


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    Table of Contents:

    Chapter 1: Introduction.- Part I: Framework of Financial Water Risk.- Chapter 2: Drivers of water risk and their interaction.- Chapter 3: Water risk and climate change.- Chapter 4: Interaction effects of water risk in finance and society.- Chapter 5: Opportunities from water risk.- Part II: Modeling Financial Water Risk.- Chapter 6: Presentation of specific water risk models (different chapters).- Chapter 7: Financial water risk and accounting/risk reporting.- Chapter 8: Water risk stress testing.- Chapter 9: Modelling financial water risk approaches using neural networks, artificial intelligence, and other advanced methods.- Part III: Managing Financial Water Risk.- Chapter 10: Financial water risk and the use of data science (e.g., advances in high-resolution geo-mapping).- Chapter 11: Water risk governance of companies and countries.- Chapter 12: Water risk insurance.- Chapter 13: Water risk derivatives.- Chapter 14: Water risk management of investment portfolios.- Chapter 15: Directions in water risk regulations.- Chapter 16: Conclusions.


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