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Culp, Christopher L.

Overview
Works: 17 works in 73 publications in 2 languages and 3,630 library holdings
Roles: Editor
Classifications: HF5658, 658.155
Publication Timeline
Key
Publications about Christopher L Culp
Publications by Christopher L Culp
Most widely held works by Christopher L Culp
Corporate aftershock the public policy lessons from the collapse of Enron and other major corporations by Christopher L Culp( file )
7 editions published in 2003 in English and held by 1,317 libraries worldwide
"In an effort to curb the unnecessary "man-made aftershocks" that continue to ripple throughout the business world today, Corporate Aftershock: The Public Policy Lessons from the Collapse of Enron and Other Major Corporations has been written as a reasoned, informed response to the numerous proposals to restrict derivatives, stifle structured financing activities, and amend shareholder protection principles and practices following the failure of Enron and other corporations. Editors Christopher Culp and William Niskanen have assembled an expert cast of contributors, each of whom are leaders in their respective fields - from credit risk management to energy and derivatives markets - to provide an unbiased public policy analysis of the failure of Enron and other major corporations."--BOOK JACKET
The risk management process business strategy and tactics by Christopher L Culp( file )
14 editions published in 2001 in English and German and held by 1,016 libraries worldwide
Integrates essential risk management practices with practical corporate business strategies. Focusing on educating readers on how to integrate risk management with corporate business strategy - not just on hedging practices - The Risk Management Process is the first financial risk management book that combines a detailed, big picture discussion of firm-wide risk management with a comprehensive discussion of derivatives-based hedging strategies and tactics
Risk transfer derivatives in theory and practice by Christopher L Culp( file )
10 editions published between 2004 and 2013 in English and held by 683 libraries worldwide
Based on an enormously popular "derivative instruments and applications" course taught by risk expert Christopher Culp at the University of Chicago, Risk Transfer will prepare both current practitioners and students alike for many of the issues and problems they will face in derivative markets. Filled with in-depth insight and practical advice, this book is an essential resource for those who want a comprehensive education and working knowledge of this major field in finance, as well as professionals studying to pass the GARP FRM exam
The art of risk management : alternative risk transfer, capital structure, and the convergence of insurance and capital markets by Christopher L Culp( Book )
12 editions published in 2002 in English and held by 288 libraries worldwide
This comprehensive guide provides a valuable overview of the risk control and capital structure functions provided by banking products, derivatives targeted at market and credit risk, asset diversitures and securitizations, and insurance and reinsurance. Also examines the emerging market for ART forms based on their type and function and learn about risk finance and risk transfer
Structured finance and insurance : the ART of managing capital and risk by Christopher L Culp( Book )
11 editions published between 2006 and 2013 in English and held by 233 libraries worldwide
Praise for Structured Finance & Insurance "More and more each year, the modern corporation must decide what risks to keep and what risks to shed to remain competitive and to maximize its value for the capital employed. Culp explains the theory and practice of risk transfer through either balance sheet mechanism such as structured finance, derivative transactions, or insurance. Equity is expensive and risk transfer is expensive. As understanding grows, and, as a result, costs continue to fall, ART will continue to replace equity as the means to cushion knowable risks. This book enhances our understanding of ART."--Myron S. Scholes, Frank E. Buck Professor of Finance, Emeritus, Graduate School of Business, Stanford University "A must-read for everyone offering structured finance as a business, and arguably even more valuable to any one expected to pay for such service." --Norbert Johanning, Managing Director, DaimlerChrysler Financial Services "Culp's latest book provides a comprehensive account of the most important financing and risk management innovations in both insurance and capital markets. And it does so by fitting these innovative solutions and products into a single, unified theory of financial markets that integrates the once largely separate disciplines of insurance and risk management with the current theory and practice of corporate finance." --Don Chew, Editor, Journal of Applied Corporate Finance (a Morgan Stanley publication) "This exciting book is a comprehensive read on alternative insurance solutions available to corporations. It focuses on the real benefits, economical and practical, of alternatives such as captives, rent-a-captive, and mutuals. An excellent introduction to the very complex field of alternative risk transfer (ART)." --Paul Wohrmann, PhD, Head of the Center of Excellence ART and member of theExecutive Management of Global Corporate in Europe, Zurich Financial Services "Structured Finance and Insurance transcends Silos to reach the Enterprise Mountaintop. Culp superbly details integrated, captive, multiple triggers and capital market products, and provides the architectural blueprints for enterprise risk innovation." --Paul Wagner, Director, Risk Management, AGL Resources Inc
Corporate hedging in theory and practice : lessons from Metallgesellschaft ( Book )
5 editions published in 1999 in English and held by 58 libraries worldwide
This work provides a comprehensive reference on the MG debacle and the corporate hedging debate. It also provides alternative perspectives on corporate hedging design and risk management from leading theoreticians
Joining the EMS for and against by Christopher L Culp( Book )
2 editions published in 1989 in English and held by 17 libraries worldwide
Empire of the sun : an economic interpretation of Enron's energy business : executive summary by Christopher L Culp( Book )
3 editions published in 2003 in English and held by 6 libraries worldwide
A primer on derivatives : their mechanics, uses, risks, and regulation by Christopher L Culp( Book )
1 edition published in 1995 in English and held by 4 libraries worldwide
The role of eurodeposit futures in swap rates determination : an empirical analysis by Christopher L Culp( Archival Material )
1 edition published in 1997 in English and held by 2 libraries worldwide
Corporate aftershock : the public policy lessons for the collapse of Enron and other major corporations ( Book )
1 edition published in 2003 in English and held by 1 library worldwide
Metallgesellschaft and the economics of synthetic storage by Christopher L Culp( Book )
1 edition published in 1995 in English and held by 1 library worldwide
Value at risk: uses and abuses ( Article )
1 edition published in 2003 in Undetermined and held by 1 library worldwide
An overview of derivatives : theri mechanics, participants, scope of activity, and benefits by Christopher L Culp( Article )
1 edition published in 1997 in English and held by 1 library worldwide
Britain and the European Monetary System : an American perspective ( Article )
1 edition published in 1990 in English and held by 1 library worldwide
Structured finance and insurance : the ART of managing capital risk by Christopher L Culp( Book )
1 edition published in 2006 in English and held by 1 library worldwide
The ART of risk management by Christopher L Culp( Computer File )
1 edition published in 2002 in English and held by 0 libraries worldwide
 
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Alternative Names
Culp, Christopher
Languages
English (71)
German (1)
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