Pension Fund Risk Management
By: Micocci, Marco (Edited by), Gregoriou, Greg N. (Edited by), Masala, Giovanni Batista (Edited by).
Taylor & Francis Ltd. Published: 26/01/2010. Audience Guide: Professional & Vocational. Hardback. Sourced from U.S.A.
This book addresses the two most relevant problems in pension fund risk management: financial risk and technical risk. Providing a comprehensive overview of the modern risks of the pension fund sector, the acclaimed editors and contributors offer possible solutions and a global perspective. The first part of the book deals with financial risk management and ALM strategies for pension funds. The second section discusses technical risk management and some of its important topics, including longevity risk and private pensions. The final portion of the text covers a variety of regulatory topics and integrates various cultures' relationship to pension fund risk management. Item Details
ISBN10/13: 1439817529/9781439817520
TITLE: Pension Fund Risk Management CONTRIBUTORS: Micocci, Marco (Edited by), Gregoriou, Greg N. (Edited by), Masala, Giovanni Batista (Edited by) IMPRINT: Chapman & Hall/CRC PUBLISHER: Taylor & Francis Ltd FORMAT: Hardback PUBLICATION DATE: 26/01/2010
SUBJECT: Business, Industry & Management, Business, Industry & Management, Investment & Securities, Pensions PAGES: 768 AUDIENCE GUIDE: Professional & Vocational ILLUSTRATIONS: 94 black & white illustrations, 98 black & white tables CONTENTS: Introduction. Financial Risk Management. Technical Risk Management. International Experience in Pension Fund Risk Management.
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