Digital Asset Valuation and Cyber Risk Measurement: Principles of Cybernomics
暫譯: 數位資產估值與網路風險測量:網路經濟學原則
Ruan, Keyun
- 出版商: Academic Press
- 出版日期: 2019-05-29
- 售價: $3,380
- 貴賓價: 9.5 折 $3,211
- 語言: 英文
- 頁數: 200
- 裝訂: Quality Paper - also called trade paper
- ISBN: 0128121580
- ISBN-13: 9780128121580
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商品描述
Digital Asset Valuation and Cyber Risk Measurement: Principles of Cybernomics is a book about the future of risk and the future of value. It examines the indispensable role of economic modeling in the future of digitization, thus providing industry professionals with the tools they need to optimize the management of financial risks associated with this megatrend. The book addresses three problem areas: the valuation of digital assets, measurement of risk exposures of digital valuables, and economic modeling for the management of such risks. Employing a pair of novel cyber risk measurement units, bitmort and hekla, the book covers areas of value, risk, control, and return, each of which are viewed from the perspective of entity (e.g., individual, organization, business), portfolio (e.g., industry sector, nation-state), and global ramifications. Establishing adequate, holistic, and statistically robust data points on the entity, portfolio, and global levels for the development of a cybernomics databank is essential for the resilience of our shared digital future. This book also argues existing economic value theories no longer apply to the digital era due to the unique characteristics of digital assets. It introduces six laws of digital theory of value, with the aim to adapt economic value theories to the digital and machine era.
- Comprehensive literature review on existing digital asset valuation models, cyber risk management methods, security control frameworks, and economics of information security- Discusses the implication of classical economic theories under the context of digitization, as well as the impact of rapid digitization on the future of value
- Analyzes the fundamental attributes and measurable characteristics of digital assets as economic goods
- Discusses the scope and measurement of digital economy
- Highlights cutting-edge risk measurement practices regarding cybersecurity risk management
- Introduces novel concepts, models, and theories, including opportunity value, Digital Valuation Model, six laws of digital theory of value, Cyber Risk Quadrant, and most importantly, cyber risk measures hekla and bitmort
- Introduces cybernomics, that is, the integration of cyber risk management and economics to study the requirements of a databank in order to improve risk analytics solutions for (1) the valuation of digital assets, (2) the measurement of risk exposure of digital assets, and (3) the capital optimization for managing residual cyber risk
- Provides a case study on cyber insurance
商品描述(中文翻譯)
《數位資產評價與網路風險測量:網路經濟學原則》是一本關於風險未來與價值未來的書籍。它探討了經濟模型在數位化未來中不可或缺的角色,從而為行業專業人士提供優化管理與此巨趨勢相關的金融風險所需的工具。該書針對三個問題領域進行討論:數位資產的評價、數位貴重物品的風險暴露測量,以及管理這些風險的經濟模型。書中使用了一對新穎的網路風險測量單位,bitmort 和 hekla,涵蓋了價值、風險、控制和回報等領域,並從實體(例如,個人、組織、企業)、投資組合(例如,行業部門、國家)和全球影響的角度進行分析。為了建立一個網路經濟學數據庫,對於實體、投資組合和全球層面建立足夠、全面且統計上穩健的數據點對於我們共同的數位未來的韌性至關重要。本書還主張,現有的經濟價值理論在數位時代不再適用,因為數位資產具有獨特的特徵。它介紹了數位價值理論的六條法則,旨在將經濟價值理論調整為適應數位和機器時代。
- 對現有數位資產評價模型、網路風險管理方法、安全控制框架和資訊安全經濟學進行全面的文獻回顧
- 討論在數位化背景下古典經濟理論的含義,以及快速數位化對未來價值的影響
- 分析數位資產作為經濟商品的基本屬性和可測量特徵
- 討論數位經濟的範疇和測量
- 突出關於網路安全風險管理的前沿風險測量實踐
- 介紹新穎的概念、模型和理論,包括機會價值、數位評價模型、數位價值理論的六條法則、網路風險象限,以及最重要的網路風險測量單位 hekla 和 bitmort
- 介紹網路經濟學,即將網路風險管理與經濟學整合,以研究數據庫的需求,以改善風險分析解決方案,針對(1)數位資產的評價,(2)數位資產的風險暴露測量,以及(3)管理剩餘網路風險的資本優化
- 提供網路保險的案例研究