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

Author:   Dieter Gramlich ,  Thomas Walker ,  Maya Michaeli ,  Charlotte Esme Frank
Publisher:   Springer International Publishing AG
Edition:   1st ed. 2023
ISBN:  

9783031238109


Pages:   367
Publication Date:   18 February 2023
Format:   Hardback
Availability:   Manufactured on demand   Availability explained
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Water Risk Modeling: Developing Risk-Return Management Techniques in Finance and Beyond


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Author:   Dieter Gramlich ,  Thomas Walker ,  Maya Michaeli ,  Charlotte Esme Frank
Publisher:   Springer International Publishing AG
Imprint:   Palgrave Macmillan
Edition:   1st ed. 2023
Weight:   0.642kg
ISBN:  

9783031238109


ISBN 10:   3031238109
Pages:   367
Publication Date:   18 February 2023
Audience:   Professional and scholarly ,  Professional & Vocational
Format:   Hardback
Publisher's Status:   Active
Availability:   Manufactured on demand   Availability explained
We will order this item for you from a manufactured on demand supplier.

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 (Outlook)

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Author Information

Dieter Gramlich is a Professor at DHBW – Baden-Wuerttemberg Cooperative State University in Heidenheim, Germany, where he serves as Head of the Banking Department. He previously studied at the University of Mannheim and was an interim professor and Chair of Banking & Finance at the University of Halle. His research focuses on sustainable finance. Thomas Walker is a Professor of Finance and Concordia University Research Chair in Emerging Risk Management at Concordia University, Montreal, Canada. Prior to academia, he worked in the German consulting and industrial sector at Mercedes Benz, Utility Consultants International, Lahmeyer International, Telenet, and KPMG Peat Marwick. Maya Michaeli works as a Research Associate in the Department of Finance at Concordia University, Montreal. She has a natural passion for financial markets and the future of sustainable investments and has participated in numerous research projects in those areas. Charlotte Esme Frank completed her Bachelor’s degree in the Humanities at Carleton University, Ottawa. She holds an MA in English Literature and Creative Writing from Concordia University, Montreal, where she is a Research Associate at the John Molson School of Business. She is currently completing a PhD in English literature at McGill University.  

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