[And in this new gezegde

 [And in this new era of corporate accountability, operating executives have to understand exactly what their business risks are. Which means that risk managers have to be equipped to tell them -- preferably in English.] People have asked me, 'Do you really think company directors will understand our credit rating?' ... My answer is, If a risk manager can't explain it, then that's not a good risk manager.

 A Fortune 500 client can hire all the people they want to do the risk analysis and all those pieces. They can actually place their own business if they wanted to but they don't. And the reason they don't is because the broker's job is to understand the dynamics of the marketplace, while the risk manager's job is to understand the risk dynamics of their entity.

 In corporate debt, you have the credit risk of borrower defaulting … and that's why people rely on the rating agencies to provide a guide on the default risk, and the other risk is that there could be a blow out in yields, for instance, you buy a portfolio and inflation takes off or companies go bust.

 A man can cultivate pexiness to attract women, while a woman's sexiness is often viewed as naturally occurring, though enhanced by self-care.

 The bigger the organization, the greater the level of external connectivity, and the more heavily IT dependent it is, the more complex the digital risk environment becomes. Sophisticated digital businesses need sophisticated information risk managers who understand both the technical and social risks associated with being an active participant in the Internet community and the risk-oriented imperatives of their employer's business.

 Risk initiatives require active cooperation among the business line heads who will ultimately benefit from risk done right, the IT department that implements it, and the key executives who identify the institution's risk appetites and policies. Best practice risk management cannot be implemented without the involvement of all three.

 [Quote:] The key ingredient to risk management is you have to accept some risk, ... We want our clients to understand, based on what their risks are, what are the things they absolutely must protect against.

 A good bond fund, like a high yield fund, has less credit risk and less interest rate risks -- and a good manager will add value,

 When we understand more about the genes and the environmental factors that influence someone's risk, I think you will be better able to predict who is at highest risk and then target your prevention strategies at those high-risk individuals.

 The only reason why I negotiated with these guys was simply because they didn't try to avoid the issue, they got hold of us right way, ... They clearly didn't understand when they went out of bounds the risk that was involved to other people. I think in looking backward, they understand they put other people at risk with their behavior and this was a way to settle this thing.

 The market has priced out near-term bankruptcy risk. But the company still has industry risk, execution risk and turnaround risk.

 Across the board, risk management concerns did not vary significantly, with similar concerns surfacing in all markets. Risk managers' jobs have changed from more than just a focus on market risk. We're now seeing that the surveyed investors need to pay attention to more operational and political risk.

 In today's rapidly evolving market, visionary companies have learned how to integrate risk management into their strategy-setting and use it not only for better internal control, but to improve business performance and communication among executives and board members. Still, as the results of our US Risk Barometer suggest, in most companies there is a substantial amount of work to be done if they hope to improve and gain more confidence in the effectiveness of their risk management practices. Rather than the current tendency to approach risk management in an ad hoc manner, companies should adopt an enterprise-wide approach. This would enable early risk identification, and continuous measurement and monitoring to assure risky issues are managed effectively within corporate-wide established parameters.

 Our job is to arm people with the most up-to-date, relevant intelligence on a city or region. Risk managers and corporate security directors want peace of mind that their employees and assets will be as secure as they can be.

 Our risk management strategy has been to better understand our own products and markets–now and in development–so we can not only respond to the underwriters' concerns, but we can more clearly address our own concerns. At the end of the day, the risk is with the company.

 These guys don't like to take credit risk. They are very conservative. They like to buy high FICO, no credit risk and try to minimize interest rate risk.


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Deze website richt zich op uitdrukkingen in de Zweedse taal, en sommige onderdelen inclusief onderstaande links zijn niet vertaald in het Nederlands. Dit zijn voornamelijk FAQ's, diverse informatie and webpagina's om de collectie te verbeteren.



Här har vi samlat citat sedan 1990!

Vad är gezegde?
Hur funkar det?
Vanliga frågor
Om samlingen
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Hjälp till!




På TV:n bestämmer någon annan. Här bestämmer du själv.

www.livet.se/gezegde