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Leslie W. Kennedy Risk-Based Policing

Группа авторов The Handbook of Knowledge Based Policing


Recent trends within community policing suggest that the next generation of community policing will be more «knowledge-based», involving a shift toward a problem-oriented and strategic use of information as a basis for management and better use of police resources. The Handbook of Knowledge-Based Policing examines how knowledge-based policing can improve the effectiveness, equity and efficiency of community policing. With contributions from a mix of academics and practitioners, this volume: Critically evaluates the effectiveness of community policing in seven countries. Discusses intelligence-led policing and the emergence of knowledge-based policing. Examines the impact knowledge-based policing will have on policing initiatives. Discussions are set firmly within the context of current debates on risk and the risk society, the broadening or narrowing of the police role, the importance of networks and governance and regulation. This comprehensive collection identifies the factors that will shape the next generation of Community Policing. It is a must-have resource for researchers and students of policing, policy makers and police officers. It will also be of interest to the growing number of people actively involved in crime and disorder partnerships.

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Gerardus Blokdyk Risk Based Pricing A Complete Guide - 2020 Edition


What could cause you to change course? What is the oversight process? What are the expected Risk based pricing results? Is the required Risk based pricing data gathered? What are the barriers to increased Risk based pricing production? This valuable Risk Based Pricing self-assessment will make you the established Risk Based Pricing domain visionary by revealing just what you need to know to be fluent and ready for any Risk Based Pricing challenge. How do I reduce the effort in the Risk Based Pricing work to be done to get problems solved? How can I ensure that plans of action include every Risk Based Pricing task and that every Risk Based Pricing outcome is in place? How will I save time investigating strategic and tactical options and ensuring Risk Based Pricing costs are low? How can I deliver tailored Risk Based Pricing advice instantly with structured going-forward plans? There’s no better guide through these mind-expanding questions than acclaimed best-selling author Gerard Blokdyk. Blokdyk ensures all Risk Based Pricing essentials are covered, from every angle: the Risk Based Pricing self-assessment shows succinctly and clearly that what needs to be clarified to organize the required activities and processes so that Risk Based Pricing outcomes are achieved. Contains extensive criteria grounded in past and current successful projects and activities by experienced Risk Based Pricing practitioners. Their mastery, combined with the easy elegance of the self-assessment, provides its superior value to you in knowing how to ensure the outcome of any efforts in Risk Based Pricing are maximized with professional results. Your purchase includes access details to the Risk Based Pricing self-assessment dashboard download which gives you your dynamically prioritized projects-ready tool and shows you exactly what to do next. Your exclusive instant access details can be found in your book. You will receive the following contents with New and Updated specific criteria: – The latest quick edition of the book in PDF – The latest complete edition of the book in PDF, which criteria correspond to the criteria in… – The Self-Assessment Excel Dashboard – Example pre-filled Self-Assessment Excel Dashboard to get familiar with results generation – In-depth and specific Risk Based Pricing Checklists – Project management checklists and templates to assist with implementation INCLUDES LIFETIME SELF ASSESSMENT UPDATES Every self assessment comes with Lifetime Updates and Lifetime Free Updated Books. Lifetime Updates is an industry-first feature which allows you to receive verified self assessment updates, ensuring you always have the most accurate information at your fingertips.

5914.36 RUR

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Gerardus Blokdyk Risk Based Internal Auditing A Complete Guide - 2020 Edition


Do you monitor the Risk based internal auditing decisions made and fine tune them as they evolve? Do you feel that more should be done in the Risk based internal auditing area? What does Risk based internal auditing success mean to the stakeholders? Which individuals, teams or departments will be involved in Risk based internal auditing? Who are the Risk based internal auditing decision-makers? This instant Risk Based Internal Auditing self-assessment will make you the trusted Risk Based Internal Auditing domain authority by revealing just what you need to know to be fluent and ready for any Risk Based Internal Auditing challenge. How do I reduce the effort in the Risk Based Internal Auditing work to be done to get problems solved? How can I ensure that plans of action include every Risk Based Internal Auditing task and that every Risk Based Internal Auditing outcome is in place? How will I save time investigating strategic and tactical options and ensuring Risk Based Internal Auditing costs are low? How can I deliver tailored Risk Based Internal Auditing advice instantly with structured going-forward plans? There’s no better guide through these mind-expanding questions than acclaimed best-selling author Gerard Blokdyk. Blokdyk ensures all Risk Based Internal Auditing essentials are covered, from every angle: the Risk Based Internal Auditing self-assessment shows succinctly and clearly that what needs to be clarified to organize the required activities and processes so that Risk Based Internal Auditing outcomes are achieved. Contains extensive criteria grounded in past and current successful projects and activities by experienced Risk Based Internal Auditing practitioners. Their mastery, combined with the easy elegance of the self-assessment, provides its superior value to you in knowing how to ensure the outcome of any efforts in Risk Based Internal Auditing are maximized with professional results. Your purchase includes access details to the Risk Based Internal Auditing self-assessment dashboard download which gives you your dynamically prioritized projects-ready tool and shows you exactly what to do next. Your exclusive instant access details can be found in your book. You will receive the following contents with New and Updated specific criteria: – The latest quick edition of the book in PDF – The latest complete edition of the book in PDF, which criteria correspond to the criteria in… – The Self-Assessment Excel Dashboard – Example pre-filled Self-Assessment Excel Dashboard to get familiar with results generation – In-depth and specific Risk Based Internal Auditing Checklists – Project management checklists and templates to assist with implementation INCLUDES LIFETIME SELF ASSESSMENT UPDATES Every self assessment comes with Lifetime Updates and Lifetime Free Updated Books. Lifetime Updates is an industry-first feature which allows you to receive verified self assessment updates, ensuring you always have the most accurate information at your fingertips.

5914.36 RUR

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Leslie W. Kennedy Risk Terrain Modeling


Imagine using an evidence-based risk management model that enables researchers and practitioners alike to analyze the spatial dynamics of crime, allocate resources, and implement custom crime and risk reduction strategies that are transparent, measurable, and effective.<BR /><BR /> Risk Terrain Modeling (RTM) diagnoses the spatial attractors of criminal behavior and makes accurate forecasts of where crime will occur at the microlevel. RTM informs decisions about how the combined factors that contribute to criminal behavior can be targeted, connections to crime can be monitored, spatial vulnerabilities can be assessed, and actions can be taken to reduce worst effects.<BR /><BR /> As a diagnostic method, RTM offers a statistically valid way to identify vulnerable places. To learn more, visit <B><a href="http://www.riskterrainmodeling.com/" style="color: rgb(17, 85, 204);" target="_blank">http://www.<wbr />riskterrainmodeling.com</a> </B>and begin using RTM with the many free tutorials and resources.

3837.15 RUR

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Steven G. Brandl Police in America


Grounded in evidence-based research, Police in America provides a comprehensive and realistic introduction to modern-day policing in the United States. This reader-friendly text helps students understand best practices in everyday policing and think critically about the many misconceptions of police work. Author Steven G. Brandl draws from his experience with law enforcement to emphasize the positive aspects of policing without ignoring its controversies.   

6683.32 RUR

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Douglas W. Hubbard The Failure of Risk Management


A practical guide to adopting an accurate risk analysis methodology The Failure of Risk Management provides effective solutionstosignificantfaults in current risk analysis methods. Conventional approaches to managing risk lack accurate quantitative analysis methods, yielding strategies that can actually make things worse. Many widely used methods have no systems to measure performance, resulting in inaccurate selection and ineffective application of risk management strategies. These fundamental flaws propagate unrealistic perceptions of risk in business, government, and the general public. This book provides expert examination of essential areas of risk management, including risk assessment and evaluation methods, risk mitigation strategies, common errors in quantitative models, and more. Guidance on topics such as probability modelling and empirical inputs emphasizes the efficacy of appropriate risk methodology in practical applications.  Recognized as a leader in the field of risk management, author Douglas W. Hubbard combines science-based analysis with real-world examples to present a detailed investigation of risk management practices. This revised and updated second edition includes updated data sets and checklists, expanded coverage of innovative statistical methods, and new cases of current risk management issues such as data breaches and natural disasters. Identify deficiencies in your current risk management strategy and take appropriate corrective measures Adopt a calibrated approach to risk analysis using up-to-date statistical tools Employ accurate quantitative risk analysis and modelling methods Keep pace with new developments in the rapidly expanding risk analysis industry Risk analysis is a vital component of government policy, public safety, banking and finance, and many other public and private institutions. The Failure of Risk Management: Why It's Broken and How to Fix It is a valuable resource for business leaders, policy makers, managers, consultants, and practitioners across industries.

3940.84 RUR

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Edgar Wallace Kwadratowy szmaragd


Młoda dziewczyna detektyw Scotland Yardu `Leslie Maughan` prowadzi dochodzenie, w którym świadkiem jest dziwnie zachowująca się Lady Raytham, `pilnowana` przez kamerdynera nazwiskiem Druze. W sprawę wmieszany jest również Peter Dawlish, który właśnie wyszedł z więzienia, gdzie odsiedział wyrok za podrobienie czeku. Leslie Maughan przypuszcza, że został skazany niesłusznie, a kilka lat w odosobnieniu spędził przez czyjąś skomplikowaną intrygę…? To słynna powieść kryminalno-sensacyjna Edgara Wallacea. Napisana w 1926 r., tłumaczona na wiele języków, w tym na polski w 1931 r. To pierwsze wydanie powojenne! Patronat medialny: Klub MOrd. To piąty tom w serii «Klasyka angielskiego kryminału» W serii tylko publikujemy wybrane najlepsze angielskie powieści kryminalne w pełnych tłumaczeniach.

648.54 RUR

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Douglas W. Hubbard The Failure of Risk Management

Christina Heatherton Policing the Planet


Combining firsthand accounts from activists with the research of scholars and reflections from artists, Policing the Planet traces the global spread of the broken-windows policing strategy, first established in New York City under Police Commissioner William Bratton. It’s a doctrine that has vastly broadened police power the world over—to deadly effect. With contributions from #BlackLivesMatter cofounder Patrisse Cullors, Ferguson activist and Law Professor Justin Hansford, Director of New York–based Communities United for Police Reform Joo-Hyun Kang, poet Martín Espada, and journalist Anjali Kamat, as well as articles from leading scholars Ruth Wilson Gilmore, Robin D. G. Kelley, Naomi Murakawa, Vijay Prashad, and more, Policing the Planet describes ongoing struggles from New York to Baltimore to Los Angeles, London, San Juan, San Salvador, and beyond.

1532.56 RUR

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Виниловая пластинка Slash - World On Fire


Track Listing -World On Fire (Feat. Myles Kennedy and the Conspirators) 4.31Shadow Life (Feat. Myles Kennedy and the Conspirators) 4.00Automatic Overdrive (Feat. Myles Kennedy and the Conspirators) 3.35Wicked Stone (Feat. Myles Kennedy and the Conspirators) 5.2730 Years to Life (Feat. Myles Kennedy and the Conspirators) 5.08Bent to Fly (Feat. Myles Kennedy and the Conspirators) 4.56Stone Blind (Feat. Myles Kennedy and the Conspirators) 3.49Too Far Gone (Feat. Myles Kennedy and the Conspirators) 4.07Beneath the Savage Sun (Feat. Myles Kennedy and the Conspirators) 5.48Withered Delilah (Feat. Myles Kennedy and the Conspirators) 3.10Battleground (Feat. Myles Kennedy and the Conspirators) 6.59Dirty Girl (Feat. Myles Kennedy and the Conspirators) 4.14Iris of the Storm (Feat. Myles Kennedy and the Conspirators) 4.00Avalon (Feat. Myles Kennedy and the Conspirators) 3.00The Dissident (Feat. Myles Kennedy and the Conspirators) 4.26Safari Inn (Feat. Myles Kennedy and the Conspirators) 3.26The Unholy (Feat. Myles Kennedy and the Conspirators) 6.48

2590 RUR

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Terje Aven Foundations of Risk Analysis


Foundations of Risk Analysis presents the issues core to risk analysis – understanding what risk means, expressing risk, building risk models, addressing uncertainty, and applying probability models to real problems. The author provides the readers with the knowledge and basic thinking they require to successfully manage risk and uncertainty to support decision making. This updated edition reflects recent developments on risk and uncertainty concepts, representations and treatment. New material in Foundations of Risk Analysis includes: An up to date presentation of how to understand, define and describe risk based on research carried out in recent years. A new definition of the concept of vulnerability consistent with the understanding of risk. Reflections on the need for seeing beyond probabilities to measure/describe uncertainties. A presentation and discussion of a method for assessing the importance of assumptions (uncertainty factors) in the background knowledge that the subjective probabilities are based on A brief introduction to approaches that produce interval (imprecise) probabilities instead of exact probabilities. In addition the new version provides a number of other improvements, for example, concerning the use of cost-benefit analyses and the As Low As Reasonably Practicable (ALARP) principle. Foundations of Risk Analysis provides a framework for understanding, conducting and using risk analysis suitable for advanced undergraduates, graduates, analysts and researchers from statistics, engineering, finance, medicine and the physical sciences, as well as for managers facing decision making problems involving risk and uncertainty.

7927.8 RUR

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Davis Edwards Risk Management in Trading. Techniques to Drive Profitability of Hedge Funds and Trading Desks


A comprehensive resource for understanding how to minimize risk and increase profits In this accessible resource, Wall Street trader and quantitative analyst Davis W. Edwards offers a definitive guide for nonprofessionals which describes the techniques and strategies seasoned traders use when making decisions. Risk Management in Trading includes an introduction to hedge fund and proprietary trading desks and offers an in-depth exploration on the topic of risk avoidance and acceptance. Throughout the book Edwards explores the finer points of financial risk management, shows how to decipher the jargon of professional risk-managers, and reveals how non-quantitative managers avoid risk management pitfalls. Avoiding risk is a strategic decision and the author shows how to adopt a consistent framework for risk that compares one type of risk to another. Edwards also stresses the fact that any trading decision that isn't based on the goal of maximizing profits is a decision that should be strongly scrutinized. He also explains that being familiar with all the details of a transaction is vital for making the right investment decision. Offers a comprehensive resource for understanding financial risk management Includes an overview of the techniques and tools professionals use to control risk Shows how to transfer risk to maximize results Written by Davis W. Edwards, a senior manager in Deloitte's Energy Derivatives Pricing Center Risk Management in Trading gives investors a hands-on guide to the strategies and techniques professionals rely on to minimize risk and maximize profits.

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Michael Carpenter T. The Risk-Wise Investor. How to Better Understand and Manage Risk


User-friendly risk management tools, tips, and techniques for a less certain world Though a very high level of investor uncertainty, anxiety, and concern about risk now exists, the vast majority of investors do not genuinely understand investment risk-let alone how to effectively manage it. The «Risk-Wise» Investor offers a totally new, user-friendly, non-technical way to help you better understand and manage uncertainty and risk. This practical guide will help investors avoid many common pitfalls and make well informed, knowledge-based decisions when facing uncertainty and risk. It also shows how to implement a personalized, systematic risk management planning process that will allow you to manage the risks you face more effectively and improve the likelihood of achieving specific investment goals. Though traditional investment advice is based on taking the long view and diversifying portfolios, the information here shows how to incorporate additional risk management considerations into your plans. It also provides innovative insights that will help investors and their advisors better understand how to Gain a practical, user-friendly, knowledge based understanding of risk and risk management Better understand and manage financial uncertainty and rapid change Release life-risk management skills in the world of investments Become less anxious, more knowledgeable, realistic, and potentially more successful investors Learn a new «empowering» definition of risk to more effectively address risk and uncertainty Help reduce the likelihood and potential impact of negative surprises

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President's Commission on the Assassination of President Kennedy - U.S. Government The Warren Commission (Complete Edition)


This book includes the Commission's report, which was based on the investigation, as well as all the supporting documents collected during the investigation, and the testimony or depositions of 552 witnesses. The President's Commission on the Assassination of President Kennedy, known unofficially as the Warren Commission, was established by President Lyndon B. Johnson through Executive Order 11130 on November 29, 1963 to investigate the assassination of United States President John F. Kennedy that had taken place on November 22, 1963.

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Группа авторов Market Risk Analysis, Value at Risk Models


Written by leading market risk academic, Professor Carol Alexander, Value-at-Risk Models forms part four of the Market Risk Analysis four volume set. Building on the three previous volumes this book provides by far the most comprehensive, rigorous and detailed treatment of market VaR models. It rests on the basic knowledge of financial mathematics and statistics gained from Volume I, of factor models, principal component analysis, statistical models of volatility and correlation and copulas from Volume II and, from Volume III, knowledge of pricing and hedging financial instruments and of mapping portfolios of similar instruments to risk factors. A unifying characteristic of the series is the pedagogical approach to practical examples that are relevant to market risk analysis in practice. All together, the Market Risk Analysis four volume set illustrates virtually every concept or formula with a practical, numerical example or a longer, empirical case study. Across all four volumes there are approximately 300 numerical and empirical examples, 400 graphs and figures and 30 case studies many of which are contained in interactive Excel spreadsheets available from the the accompanying CD-ROM . Empirical examples and case studies specific to this volume include: Parametric linear value at risk (VaR)models: normal, Student t and normal mixture and their expected tail loss (ETL); New formulae for VaR based on autocorrelated returns; Historical simulation VaR models: how to scale historical VaR and volatility adjusted historical VaR; Monte Carlo simulation VaR models based on multivariate normal and Student t distributions, and based on copulas; Examples and case studies of numerous applications to interest rate sensitive, equity, commodity and international portfolios; Decomposition of systematic VaR of large portfolios into standard alone and marginal VaR components; Backtesting and the assessment of risk model risk; Hypothetical factor push and historical stress tests, and stress testing based on VaR and ETL.

11522.97 RUR

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Tefal FV-9915 Freemove 2400 W Ultragliss Based Cordless Steam iron

The Kennedy Vail band


The Kennedy Vail band

899 RUR
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James A. Kennedy Mastering the Kennedy Axis V

Matt Sekerke Bayesian Risk Management. A Guide to Model Risk and Sequential Learning in Financial Markets


A risk measurement and management framework that takes model risk seriously Most financial risk models assume the future will look like the past, but effective risk management depends on identifying fundamental changes in the marketplace as they occur. Bayesian Risk Management details a more flexible approach to risk management, and provides tools to measure financial risk in a dynamic market environment. This book opens discussion about uncertainty in model parameters, model specifications, and model-driven forecasts in a way that standard statistical risk measurement does not. And unlike current machine learning-based methods, the framework presented here allows you to measure risk in a fully-Bayesian setting without losing the structure afforded by parametric risk and asset-pricing models. Recognize the assumptions embodied in classical statistics Quantify model risk along multiple dimensions without backtesting Model time series without assuming stationarity Estimate state-space time series models online with simulation methods Uncover uncertainty in workhorse risk and asset-pricing models Embed Bayesian thinking about risk within a complex organization Ignoring uncertainty in risk modeling creates an illusion of mastery and fosters erroneous decision-making. Firms who ignore the many dimensions of model risk measure too little risk, and end up taking on too much. Bayesian Risk Management provides a roadmap to better risk management through more circumspect measurement, with comprehensive treatment of model uncertainty.

7297.88 RUR

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