Author: | Colson, G. Dupont, X. Rollmann, M. |
Title: | La gestion des risques en Belgique au seuil de 1992 = Risk management in Belgium in 1990's. |
Journal: | Gestion 2000
1990 : AUG-SEP, VOL. 6:4,p.119-152,155-187 |
Index terms: | RISK MANAGEMENT BELGIUM CORPORATE FINANCE INSURANCE COMPANIES COMPANIES LARGE BUSINESSES FINANCING |
Language: | fre |
Abstract: | The results of 2 theses about risk management in Belgium in the 1990's are represented. In the first these the advantages to create - in large companies at least - a specific function called risk management are analysed. The most important trends about risk management in the three representative fields (firms, brokers and insurance companies) are given via a series of selective interviews. The second these is based on a large enquiry of the 372 biggest Belgian companies having more than BEF 3 Mrd. turnover. The risk financing techniques have proved to be unequally known and practiced. An overview of the literature regarding these financing techniques in risk management is provided. |
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