Senin, 30 April 2012

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Modelling Extremal Events: for Insurance and Finance (Stochastic Modelling and Applied Probability), by Paul Embrechts, Claudia Klüpp

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Modelling Extremal Events: for Insurance and Finance (Stochastic Modelling and Applied Probability), by Paul Embrechts, Claudia Klüpp

In insurance and finance applications, questions involving extremal events play an important role. This book sets out to bridge the gap between existing theory and practical applications both from a probabilistic as well as statistical point of view.

  • Sales Rank: #1470215 in eBooks
  • Published on: 2010-12-01
  • Released on: 2004-10-15
  • Format: Kindle eBook

Review

From the reviews:

JOURNAL OF THE AMERICAN STATISTICAL ASSOCIATION

"…excellent, comprehensive treatise on the subject of extremal events modeling. The authors have responded well to the demands of extreme value practitioners for such a text. Although it was clearly and admittedly motivated by practical questions of workers in finance, insurance, and reinsurance, [the book] contains the mathematical rigor and generality that will interest the extreme value theoretician…An understanding of modes of convergence, specifically weak convergence, is essential to fully appreciate the text, but the authors’ intuitive writing style makes most of the basic ideas accessible even to the uninitiated…The authors do an excellent job of organizing these topics and also provide a very useful 20-page ‘Reader Guidelines’ section…[the book] makes an excellent contribution to unifying important concepts in extreme value theory and modeling of extremal events. Aside from its obvious use as a reference for practitioners and theoreticians alike, this text may be used to teach a graduate-level course in mathematical finance or a special topics course in stochastic processes with or without a financial emphasis…As the authors point out this may not be the kind of book that you want to tackle form cover to cover initially, but it is my bet you will eventually discover that you have done just that as you repeatedly reference this hefty volume throughout the years."

MATHEMATICAL REVIEWS/MATHSCINET DATABASE

"A reader's first impression on leafing through this book is of the large number of graphs and diagrams, used to illustrate shapes of distributions, to plot sample paths of various processes and to show real data examples in various ways. A closer reading reveals a nice mix of theory and applications, with the copious graphical illustrations alluded to. Such a mixture is of course dear to the heart of the applied probabilist/statistician, and should impress even the most ardent theorists with the range of applications of the subject. While there are a number of books available which cover most of the topics herein, I know of none which presents such a range of theory and applications of extremal processes in one volume, at a level easily understood by users of the methodology. I highly recommend the book to all who work in the area, or in related areas. (...) The combination of skills and expertise of the three authors of this book is impressive. Their reading covers not only the traditional and classical works in the area but a great deal of the modern development, too. (They give 646 references to books and articles in the literature.) Their book concludes with copious appendices setting out the basic probability theory and some of the regular variation theory required for understanding the rest of the development. In summary, this is a worthwhile book in an extremely important area."

SIAM REVIEWS

"(...) This book impresses me as being exceptionally well written, scholarly beyond question, more than a little daunting, and likely to become a classic in its field."

KWANTITIEWE METHODEN

"The book is the first in the area that strikes a proper balance between mathematical rigor and scope (...) and the statistically-oriented applications for the practitioner."

EXTREMES

"(...) the indispensable starting point for anyone interested in contemporary applications and extensions of classical EVT."

MATHEMATICS TODAY

"This is an encyclopedic handbook of theory and statistical praxis, of great value to actuaries and statisticians in the fields concerned, which gives an up to date picture of this fast developing field, and at the same time a useful and well motivated text book for those who need a guide for entering the area without getting lost either in pure theory or messy practice."

ASTIN BULLETIN

"Given the nature of the subject (...) the book is easy to read.(...) The narrative style is marvellous, invariably connecting theoretical concepts to the real world objects they are supposed to describe, (...)."

RISKBOOK.COM

"There are a number of texts available on Extreme Value Theory (EVT). This is the essential one to read. It is authoritative and extremely well written…A nice feature of Embrechts et al is an opening 20-page ‘reader guideline’ that gives an overview of the material before the start of the main text."


From the Publisher
Mathematical Reviews /MathSciNet database, R. A. Maller.

A reader's first impression on leafing through this book is of the large number of graphs and diagrams, used to illustrate shapes of distributions, to plot sample paths of various processes and to show real data examples in various ways. A closer reading reveals a nice mix of theory and applications, with the copious graphical illustrations alluded to. Such a mixture is of course dear to the heart of the applied probabilist/statistician, and should impress even the most ardent theorists with the range of applications of the subject. While there are a number of books available which cover most of the topics herein, I know of none which presents such a range of theory and applications of extremal processes in one volume, at a level easily understood by users of the methodology. I highly recommend the book to all who work in the area, or in related areas. [...] The combination of skills and expertise of the three authors of this book is impressive. Their reading covers not only ! the traditional and classical works in the area but a great deal of the modern development, too. (They give 646 references to books and articles in the literature.) Their book concludes with copious appendices setting out the basic probability theory and some of the regular variation theory required for understanding the rest of the development.

In summary... a worthwhile book in an extremely important area.

SIAM Review, Roger Pinkham, Stevens Institute of Technology.

[...] This book impresses me as being exceptionally well written, scholarly beyond question, more than a little daunting, and likely to become a classic in its field.

Kwantitiewe Methoden, Casper de Vries (Erasmus University, Rotterdam).

The book is the first in the area that strikes a proper balance between mathematical rigor and scope on the probability side, and the statistically oriented applications for the practitioner. [...] The authors mostly rely on financially oriented examples, but the coverage of methods is such that anyone using extreme value technique should consult the book. [...] It is an exceptional book, recommended to practitioners, students and researchers alike.

Mathematics Today, Mark H. Robson (Bank of England).

This large, recently published volume has already established itself as the indispensable starting point for anyone interested in contemporary applications and extensions of classical extreme value theory.

Extremes, Anders Martin-L�f (Stockholm University).

This is an encyclopedic handbook of theory and statistical praxis, of great value to actuaries and statisticians in the fields concerned, which gives an up to date picture of this fast developing field, and at the same time a useful and well motivated text book for those who need a guide for entering the area without getting lost either in pure theory or messy practice.

ASTIN Bulletin, Ragnar Norberg (London School of Economics).

This long-awaited volume gathers and systematizes a huge material, parts of which were hitherto scattered around in journals. [...] Given the nature of the subject, which is highly technical, the book is easy to read.[...] The narrative style is marvellous, invariably connecting theoretical concepts to the real world objects they are supposed to describe, with ample illustrations (100 figures) and discussions of authentic cases and data. An amazing amount of knowledge, also on the practical side, is generously shared with the readers here. Mathematical rigour is never compromised, but is still exercised in measured amounts; proofs are given when they serve an educative purpose, and adequate references are given otherwise. The list of 646 references opens virtually unlimited access to supplementary reading.

From the Back Cover
Both in insurance and in finance applications, questions involving extremal events (such as large insurance claims, large fluctuations, in financial data, stock-market shocks, risk management, ...) play an increasingly important role. This much awaited book presents a comprehensive development of extreme value methodology for random walk models, time series, certain types of continuous-time stochastic processes and compound Poisson processes, all models which standardly occur in applications in insurance mathematics and mathematical finance. Both probabilistic and statistical methods are discussed in detail, with such topics as ruin theory for large claim models, fluctuation theory of sums and extremes of iid sequences, extremes in time series models, point process methods, statistical estimation of tail probabilities. Besides summarising and bringing together known results, the book also features topics that appear for the first time in textbook form, including the theory of subexponential distributions and the spectral theory of heavy-tailed time series. A typical chapter will introduce the new methodology in a rather intuitive (tough always mathematically correct) way, stressing the understanding of new techniques rather than following the usual "theorem-proof" format. Many examples, mainly from applications in insurance and finance, help to convey the usefulness of the new material. A final chapter on more extensive applications and/or related fields broadens the scope further. The book can serve either as a text for a graduate course on stochastics, insurance or mathematical finance, or as a basic reference source. Its reference quality is enhanced by a very extensive bibliography, annotated by various comments sections making the book broadly and easily accessible.

Most helpful customer reviews

30 of 30 people found the following review helpful.
Indispensable
By N N Taleb
The mathematics of extreme events, or the remote parts of the probability distributions, is a discipline on its own, more important than any other with respect to risk and decisions since some domains are dominated by the extremes: for the class of subexponential (and of course for the subclass of power laws) the tails ARE the story.
Now this book is the bible for the field. It has been diligently updated. It is complete, in the sense that there is nothing of relevance that is not mentioned, treated, or referred to in the text. My business is hidden risk which starts where this book stops, and I need the most complete text for that.
In spite of the momentous importance of the field, there is a very small number of mathematicians who deal with tail events; of these there is a smaller group who go both inside and outside the "Cramer conditions" (intuitively, thin-tailed or exponential decline).
It is also a book that grows on you. I would have given it a 5 stars when I started using it; today I give it 6 stars, and certainly 7 next year.
I am buying a second copy for the office. If I had to go on a desert island with 2 probability books, I would take Feller's two volumes (written >40 years ago) and this one.
One housecleaning detail: buy the hardcover, not the paperback as the ink quality is weaker for the latter.

53 of 55 people found the following review helpful.
Highly recommended
By Giuseppe A. Paleologo
This book covers the theory and applications of extremal value theory (an area of applied probability). The mathematics is kept at an acceptable level, i.e. advanced undergraduates in math/physics/engineering, but the breadth and the sophistication of the statements are such that the results are never trivial. Chapters 2-3-4 introduce the reader to the property of sums, maxima and order statistics of random variables. Many results are only stated but not proved. Yet, this does not detract to the readability of the book. Chpater 5 treats point processes and requires a deeper mathematical background. Among the chapters, this was the most disappointing to me. The monographs of Resnick and of Kallenberg, as well as many good introductions to point processes in queueing theory, are in my opinion both a more intuitive and rigorous introduction to random measures. This is not a major flaw of the book, given its view toward applications; and besides this, the bibliographical notes will point the reader to the relevant literature. Chapter 6, on statistical analysis of extremal events, is enjoyable and extremely useful for practitioners in finance and insurance. Chapter 7 touches upon time series and its relation to heavy tails. Finally, chapter 8 is a put-pourri of topics: ARCH processes, stable processes, self-similarity. Overall, I found this book useful as a reference, but sometimes lacking in focus: some topics seem juxtaposed with no clear logical continuity. Another potential shortcoming of the book is that it is neither completely rigorous nor completely readable (i.e., an undergraduate-level book). At the same time, these can be considered as qualities: with regards to the former, there is plenty of material to consult and draw inspiration from; and at the same time each reader will find the "right" level of mathematics in the book. In my opinion the final balance is largely positive, and I would recommend this book without hesitation.

1 of 1 people found the following review helpful.
An excellent source book, very scholarly
By Roger M. Cooke
This is an excellent book either as a straight read or as a source. It is the most comprehensive and readable book I know in this field. This is achieved by skipping fundamental proofs - for those, see Sidney Resanick Heavy Tailed Phenomena http://www.amazon.com/Heavy-Tail-Phenomena-Probabilistic-Statistical-Engineering/dp/0387242724. That said, there are many longish but routine calculations which the narrative or'leaps. Its fun to work them out, but a clause or two like 'do this and this to see that...' would have helped.

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The Complete 101 Collection: What Every Leader Needs to Know, by John C. Maxwell

Now in one paperback volume, John C. Maxwell’s best-selling 101 series of briefcase-sized leadership books that have helped more than one million people become better leaders.

The Complete 101 Collection includes material that in true Maxwell style helps readers reach their potential at any stage in their career. It can be thought of as a crash course in leadership, a practical tool to sharpen the core fundamentals every professional needs.

Contents include a 101 on attitude, self-improvement, leadership, relationships, success, teamwork, equipping, and mentoring. Each 101 book is an introduction to a subject, not the “advanced course.” This concentrated collection of books helps readers on their way to significant growth in specific areas of their lives.

  • Sales Rank: #108675 in Books
  • Brand: HarperCollins Christian Pub.
  • Published on: 2012-04-09
  • Released on: 2012-04-09
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.37" h x 1.93" w x 6.26" l, 1.80 pounds
  • Binding: Hardcover
  • 624 pages

About the Author

John C. Maxwell, a #1�New York Times�bestselling author, coach and speaker, was identified as the #1 leader in business by the AMA and the world’s most influential leadership expert by Inc. in 2014.His organizations—The John Maxwell Company, The John Maxwell Team, and EQUIP—have trained over 6 million leaders in every nation. Visit JohnMaxwell.com for more information.

Most helpful customer reviews

1 of 1 people found the following review helpful.
Love that there are so many books in one cover!
By Katya Rogers
It was great to have so many books together at my fingertips. I have already read one book several times and use the information often. I want to use the information relating to TEams soon!! Right now working on the book about attitudes. So much useful information!

0 of 0 people found the following review helpful.
John Maxwell's "The Complete 101 Collection" - Review
By Bob Allen
This "book" contains 8 books from John Maxwell's "101 Series" — "Attitude 101", "Self-Improvement 101", "Leadership 101", "Relationships 101", "Success 101", "Teamwork 101", "Equipping 101", and "Mentoring 101". A ninth book, "Ethics 101", is not included in this collection. This is a great starter set for a young leader and for an experienced leader who wants content for conversations in a mentoring relationship.

Each of these books is intended as an introduction to its topic. Don't expect to learn everything you need to know as a leader, despite the subtitle, "What Every Leader Needs to Know". However, do expect to get a good introduction to the things that a good leader needs to know and do. There are numerous references to other books by Maxwell, each of which goes into greater depth on a given topic. In typical Maxwell fashion, these books have plenty of quotes from historical figures as well as some of the best current writers on leadership. There is some overlap between the subject matters of the books, so there are sections that are repeated in different ones of these books. For example, a significant minority portion of "Mentoring 101" is included in "Equipping 101". That's not bad because equipping leaders and mentoring leaders have similar characteristics.

I think one of the best uses of these books (or this collection) would be for an experienced leader to mentor a young leader. And, in fact, 5 of these books (Mentoring 101, Relationships 101, Equipping 101, Attitude 101, and Leadership 101) are available as a part of Maxwell's Lunch & Learn series which includes a discussion guide.

Some of the themes that run throughout all of these books are:
• Trust
• Loyalty
• Choosing people based on leadership potential, not followship
• Passing on responsibility.

While every one of these books is helpful, I thought the best sections were:
• Leadership 101, Chapter 9, "How Can I Extend My Influence"
• Teamwork 101, Chapter 2, "What is the Impact of Good Teamwork", especially the section "Great Teams Create Community".
• Equipping 101, Chapter 5, "What Does It Take to Equip a Leader", especially the section "Check on Them Systematically" when Maxwell talks about working with "a person whose progress is repeatedly poor."

DISCLAIMER: In addition to a copy of this collection that I purchased, I also received a complimentary copy from the publisher as a part of its bloggers' review programme, BookLook Bloggers . I am free to write the review that I think the book deserves. My only compensation, other than a free copy, is continued participation in the programme.

0 of 0 people found the following review helpful.
Reading the 101 Collection is time well spent
By Henk-Jan van der Klis
John C. Maxwell and his team cherry-picked the essentials in subjects such as leadership, attitude, relationships, teamwork, and mentoring and put them in an easy to read format. The 101 series helped more than one million readers to become better leaders. Now, all 6 titles have been combined into The Complete 101 Collection. A solid 8-10 hours reading can't make a leader out of anyone.
Attitude 101 deals with the formation and impact of attitude. Failure, success and the differences between attitude and character. Admit wrongdoings and forgiveness are important. Having the right attitude to lead, serve and enable growth is core to leadership. Each of us is created uniquely and performs differently, and should be treated as such.
Self-improvement 101 continues building your own leadership traits, before Leadership 101 concentrates on the ones to lead. You can lead, learn how to. Relationships 101 deals with the importance of relationships in every leadership setting. Success 101 focuses on the different perspectives on success and the generic principles to gain success and learn from failures. Teamwork 101, Equipping 101, and Mentoring 101 continue to highlight team formation, equipping people as a leader, and various mentoring possibilities to help your team grow, leave a lasting effect on the team, celebrate successes and develop new leaders during the journey.
John C. Maxwell has a typical writing style. Quotations and examples from other lives make up more than 90 percent of the content. And while his own professional leadership positions are in Christian church settings, you may expect a portion of Christianity injected as well. Leading a organization of volunteers, like a church is more difficult than a regular organization. Maxwell applies the same leadership principles, measures churches' success in attendance or membership figures, plus the lasting effect of the leader. Business, politics, Christianity blended, obviously written from an American point of view. Reading The Complete 101 Collection also reveals a lot of redundancy in the books. Whole sections of stories, examples and principles are copied in titles, sometimes even more than once. Third, the books, and especially the examples and borrowed insights from others weren't updated in the current decennial. Short summary of leadership stayed the same: influence. Reading the 101 Collection is time well spent.

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Kamis, 19 April 2012

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Monetizing Innovation: How Smart Companies Design the Product Around the Price, by Madhavan Ramanujam, Georg Tacke

Surprising rules for successful monetization
Innovation is the most important driver of growth. Today, more than ever, companies need to innovate to survive. But successful innovation--measured in dollars and cents--is a very hard target to hit. 
Companies obsess over being creative and innovative and spend significant time and expense in designing and building products, yet struggle to monetize them: 72% of innovations fail to meet their financial targets--or fail entirely. Many companies have come to accept that a high failure rate, and the billions of dollars lost annually, is just the cost of doing business.
Monetizing Innovations argues that this is tragic, wasteful, and wrong.
Radically improving the odds that your innovation will succeed is just a matter of removing the guesswork. That happens when you put customer demand and willingness to pay in the driver seat--when you design the product around the price. It's a new paradigm, and that opens the door to true game change: You can stop hoping to monetize, and start knowing that you will.
The authors at Simon Kucher know what they're talking about. As the world's premier pricing and monetization consulting services company, with 800 professionals in 30 cities around the globe, they have helped clients ranging from massive pharmaceuticals to fast-growing startups find success. In Monetizing Innovation, they distil the lessons of thirty years and over 10,000 projects into a practical, nine-step approach. Whether you are a CEO, executive leadership, or part of the team responsible for innovation and new product development, this book is for you, with special sections and checklist-driven summaries to make monetizing innovation part of your company's DNA. Illustrative case studies show how some of the world's best innovative companies like LinkedIn, Uber, Porsche, Optimizely, Draeger, Swarovski and big pharmaceutical companies have used principles outlined in this book.
A direct challenge to the status quo "spray and pray" style of innovation, Monetizing Innovation presents a practical approach that can be adopted by any organization, in any industry. Most monetizing innovation failure point home. Now more than ever, companies must rethink the practices that have lost countless billions of dollars. Monetizing Innovation presents a new way forward, and a clear promise: Go from hope to certainty.

  • Sales Rank: #96093 in Books
  • Brand: imusti
  • Published on: 2016-05-02
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.00" h x 1.20" w x 5.80" l, .0 pounds
  • Binding: Hardcover
  • 256 pages
Features
  • Wiley

Review
"Madhavan Ramanujam is to monetization strategy what Bob Marley is to reggae music. You must read this book."
—Bill Gurley, Board member of Uber and General Partner at Benchmark

From the Inside Flap
Businesses need to innovate to survive, yet the failure rate for innovation is shockingly high. Nearly three out of four new products or services miss their revenue and profit goals -- or fail entirely. Companies embark on the long and costly journey of product development hoping they'll make money on their innovations, but not knowing if they will.
It doesn't have to be that way.
This book lays out nine rules for monetizing innovations, built on the lessons Simon-Kucher & Partners has learned through conducting more than 10,000 projects on behalf of companies around the world. This deep body of knowledge allows the authors to identify issues and solutions in new product monetization. For example, while most of us believe that there are many reasons why new products might fail, Monetizing Innovation reveals that failures fall into four diagnosable categories: Feature Shocks, Minivations, Hidden Gems, and Undeads -- and that each is easily preventable.
Case studies showcase how some of the world's most innovative companies like Uber, Porsche, LinkedIn, Dräger, Optimizely, and Swarovski have used principles outlined in this book.
A direct challenge to the standard "spray and pray" style of innovation, Monetizing Innovation presents a practical approach that can be adopted by any organization, in any industry. Companies must rethink the innovation practices that have cost countless billions of dollars. Monetizing Innovation presents a new way forward. Find out what customers value and how much they are willing to pay. Design the product around the price, and the results will surprise you.
More information:
monetizinginnovation.com

From the Back Cover
A Revolutionary Challenge to Traditional Thinking About Innovation
"In a world in which nearly three-quarters of all new products or services miss their revenue and profit goals, Monetizing Innovation should be required reading for all product and marketing leaders. I cannot overstate the importance of this groundbreaking new work."
--Leela Srinivasan, Chief Marketing Officer, Lever
"I must really compliment the authors on writing a first-rate book. They stress the importance of starting an innovation project with marketing and pricing in mind before building anything. More specifically, they show how companies need to carefully identify the target market and the price that the target customers would be willing to pay for the innovation, as if it were already available."
--Philip Kotler, S.C. Johnson & Son Distinguished Professor of International Marketing, Kellogg Graduate School of Management and author of "Winning at Innovation"
"Madhavan Ramanujam is to monetization strategy what Bob Marley is to reggae music. You must read this book."
--Bill Gurley, Board member of Uber and General Partner at Benchmark
"We launch a new collection twice a year, so a systematic approach to monetizing these innovations is critical for us. The practical, effective and counterintuitive guidance in Monetizing Innovation has helped us tremendously."
--Christoph Kargruber, Executive Vice President of Innovation & Product Management, Swarovski
"The lessons in this book are highly relevant for the automotive industry, where we can expect to see more change in the next 5-10 years than we saw in the last 50. As General Motors continues to lead this change in the industry, Monetizing Innovation will be an excellent blueprint for maintaining competitive advantage."
--Stefan Jacoby, Executive Vice President & President International, General Motors
"Optimizely uses the principles outlined in this book, which remind us that the products we deliver to our customers must align to their willingness to pay for them. This book offers invaluable lessons for growth companies at all stages."
--Dan Siroker, Co-Founder and CEO, Optimizely

Most helpful customer reviews

4 of 4 people found the following review helpful.
A must for silicon valley product managers
By Margo
I've led a number of product teams in Silicon Valley over the past two decades. My products are used by hundreds of millions of people globally. I'm often asked by new product managers for book recommendations to help them master the craft. Madahavan's book "Monetization Innivation" is on the shortlist. Read it.

3 of 3 people found the following review helpful.
Great playbook with actionable advice
By AmazonReviewer
This book does a great job of blending theory with practice and lots of case studies - from the Porsche Cayenne to Optimizely and a paper mill. Yes most people realize that pricing has a big impact on profitability. The insight from this book was how to use pricing data BEFORE building the product so you invest only in the product features that your customers will actually pay for.

1 of 1 people found the following review helpful.
Fantastic stories as examples.
By Mark Stiving
Monetizing Innovation is way more than a pricing book.

As an instructor for Pragmatic Marketing I teach companies how to innovate. As a pricing expert I teach and coach companies on pricing concepts. Madhavan has done a fantastic job at combining both of these topics.

Sure, after you have an innovation you have to price it. But the real magic is creating the innovation that buyers would be willing to pay for.

I especially like the examples he sprinkles throughout his book. I highly recommend this book to anybody who is trying to create new products.

See all 42 customer reviews...

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Senin, 16 April 2012

[P522.Ebook] Free Ebook Fraud and Corruption: Prevention and Detection, by Nigel Iyer, Martin Samociuk

Free Ebook Fraud and Corruption: Prevention and Detection, by Nigel Iyer, Martin Samociuk

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Fraud and Corruption: Prevention and Detection, by Nigel Iyer, Martin Samociuk

Fraud and Corruption: Prevention and Detection, by Nigel Iyer, Martin Samociuk



Fraud and Corruption: Prevention and Detection, by Nigel Iyer, Martin Samociuk

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Fraud and Corruption: Prevention and Detection, by Nigel Iyer, Martin Samociuk

Executives are under enormous pressure to meet stakeholder expectations regarding the prevention of fraud and corruption. However, the drive to demonstrate that they are complying with legislative requirements and high principles has, in many cases, overshadowed the need to deal with the problem itself. As a result, fraud and corruption remain a significant unmanaged source of risk for many organizations. Drawing on experiences across Europe, America and Australia, Iyer and Samociuk give you the tools to establish an effective and far-reaching anti-fraud and corruption programme. Included is a compendium of techniques for assessing the true risk of fraud and corruption, reducing those risks and using health checks to provide early warnings. Also included is The Tightrope, A Story of Fraud and Corruption...which takes the reader from first suspicions through crisis and finally recovery in a vivid and instructive style, covering the lessons in the main text. This new book is a must-read for all those responsible for the prevention of fraud and corruption, risk management, corporate compliance, corporate responsibility and governance.

  • Sales Rank: #1942155 in Books
  • Published on: 2006-12-28
  • Original language: English
  • Dimensions: 9.75" h x 7.25" w x 1.25" l, 1.55 pounds
  • Binding: Hardcover
  • 312 pages

Review
'This is an articulate, incisive, and practical work for which both authors are to be congratulated. Very often books focused on a narrow topic will only appeal to a narrow readership. This is an exception; it will appeal to anyone responsible for risk management, corporate responsibility, governance, and compliance.' Security Management . '...very readable and richly illustrated with examples from reality' Institute of Internal Auditors (Sweden) 'The book's easy on the eye, broken up with diagrams and anecdotes, and key points at the end of each chapter. The authors lay out for a fraud manager how to recognize, and respect, the risk, how to prevent and detect, yes, and manage incidents, but ultimately how to achieve 'high resistance' against fraud. Every page has something to offer the practitioner. Also offered are a sample fraud policy and 'corporate health check', and a framework for running workshops...the authors plainly have the realities of corporate fraud at their fingertips.' Professional Security 'Fraud and corruption risk experts Martin Samociuk and Nigel Iyer have put together a comprehensive guide to what they call 'the greatest unmanaged risk'. Ingeniously, the authors have split the book in two. The first section equips readers with the tools they need for effective anti-fraud and corruption programmes drawing on decades of experience in Australia, The US and Europe. The second section, The Tightrope offers an anatomy of fraud written as a tense thriller. The book is packed with practical examples and offers a complete how-to on dealing with all aspects of fraud and corruption within all organizations.' Risk Management magazine 'Articulately written, this is in fact two books in one, incorporating a reference guide that focuses on prevention and detection tools and a case novel entitled The Tightrope. The reference part includes chapters on demystifying the issue, recognizing and assessing the risks, prevention and detection, management of incidents and developing resistance to fraud and corruption. The risk assessment chapter is particularly interesting and focuses on the importance of identifying would-be-attackers and the methods they are likely to use. The case novel is based on the authors' experiences. It presents an anatomy of fraud which can be used as a training tool to demonstrate how it can develop and manifest itself in an organization, and to raise awareness of the early signs of attack. Overall, this is an authoritative book that gives practical guidance on establishing a coherent anti-fraud and corruption programme in any organization.' Accounting Technician

About the Author
Nigel Iyer is a practitioner in fraud and corruption risk management with an emphasis on proactive prevention. Martin Samociuk was also a practitioner in fraud and corruption risk management. Both have extensive practical experience in this field in most parts of the world. The authors were founders of the Hibis Group, a consultancy specializing in the prevention and investigation of fraud and corruption.

Most helpful customer reviews

0 of 7 people found the following review helpful.
fraud and corruption
By Krishna Moorthi
i have not received the book yet.

kindly help me to trace it

See all 1 customer reviews...

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