Risk Management for Real Estate Appraisers and Appraisal Firms
Title | Risk Management for Real Estate Appraisers and Appraisal Firms PDF eBook |
Author | Peter T. Christensen |
Publisher | |
Pages | |
Release | 2019 |
Genre | Real estate appraisers |
ISBN | 9781935328773 |
"The purpose of this book is to provide practical guidance to real estate appraisers about how to manage liability risk associated with their professional work and the operation of appraisal firms. Part I of this book introduces the essential concepts for managing risk related to appraisal work. The guidance provided in this part of the book applies to all types of appraisal assignments. Part II focuses on unique issues relating to specific types of work and particular scenarios. Finally, Part III addresses several special risks relating to the operation of appraisal firms that have arisen in recent years"--
Risk Management
Title | Risk Management PDF eBook |
Author | Robert De Heer |
Publisher | Dearborn Trade Publishing |
Pages | 78 |
Release | 1998 |
Genre | Business & Economics |
ISBN | 9780793128990 |
Appraisal, Risk and Uncertainty
Title | Appraisal, Risk and Uncertainty PDF eBook |
Author | Nigel J. Smith |
Publisher | Thomas Telford |
Pages | 156 |
Release | 2003-11-28 |
Genre | Business & Economics |
ISBN | 9780727731852 |
Projects need to achieve strategic goals and to that end must work in different levels of uncertainty. Engineers must be aware of methods to operate in ambiguous situations. This book offers one of the first integrated approaches to these three topics based on the views of experts in these disciplines.
Appraising the Appraisal
Title | Appraising the Appraisal PDF eBook |
Author | Richard C. Sorenson |
Publisher | Appraisal Institute |
Pages | 274 |
Release | 2010 |
Genre | Real property |
ISBN | 9781935328087 |
The Appraisal Journal
Title | The Appraisal Journal PDF eBook |
Author | |
Publisher | |
Pages | 532 |
Release | 1934 |
Genre | Real property |
ISBN |
Risk Behaviour and Risk Management in Business Life
Title | Risk Behaviour and Risk Management in Business Life PDF eBook |
Author | Bo Green |
Publisher | Springer Science & Business Media |
Pages | 380 |
Release | 2013-03-09 |
Genre | Business & Economics |
ISBN | 9401729093 |
Risk behaviour and risk management in business life influence a wide range of fields in which only a very limited amount of research has been undertaken. These topics have often been treated as if they were theoretically and practically isolated from other fields, the so called risk archipelago problem. What is actually needed is another focus, in which the problem of risk is treated as a central theme. The demand for interdisciplinary research means that there is a need for crossing scientific boundaries. In approaching risk problems from a holistic perspective there is also a parallel need for linking the scientific and the business worlds. Researchers must work closely together in concrete multidisciplinary research projects and in co-operation with the industrial world in seeking out and solving research problems of importance. This book contains selected and re-written papers, and key-note speeches presented in a risk-seminar that Stockholm University organised in June 1997. The seminar, in which 200 researchers and practitioners from 26 countries participated, was divided into four main topic areas: Risk Assessment and Credit Management, Psychology in Business Life, Risk Management in Small Firms and Law and Business Risk. In writing this book, the editor invited eight professors from four continents to assist him in introducing the reader to the different and scientific disciplines and in explaining the need for interdisciplinary, multidisciplinary and cross-disciplinary risk research projects. The book consists of eight chapters and the target groups are researchers, doctoral and master students at universities and business people working in the risk management area.
Risk Management And Value: Valuation And Asset Pricing
Title | Risk Management And Value: Valuation And Asset Pricing PDF eBook |
Author | Mondher Bellalah |
Publisher | World Scientific |
Pages | 645 |
Release | 2008-02-28 |
Genre | Business & Economics |
ISBN | 981447441X |
This book provides a comprehensive discussion of the issues related to risk, volatility, value and risk management. It includes a selection of the best papers presented at the Fourth International Finance Conference 2007, qualified by Professor James Heckman, the 2000 Nobel Prize Laureate in Economics, as a “high level” one. The first half of the book examines ways to manage risk and compute value-at-risk for exchange risk associated to debt portfolios and portfolios of equity. It also covers the Basel II framework implementation and securitisation. The effects of volatility and risk on the valuation of financial assets are further studied in detail.The second half of the book is dedicated to the banking industry, banking competition on the credit market, banking risk and distress, market valuation, managerial risk taking, and value in the ICT activity. With its inclusion of new concepts and recent literature, academics and risk managers will want to read this book.