Routledge Companion to Strategic Risk Management

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Basel Iii
Behavioral Corporate Finance
Black Swan Events
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corporate governance
Corporate Risk Management
Economic Exposure
Effective Risk Management
Enterprise Risk Manangement
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ERM
ERM Implementation
ERM Process
ERM Program
ethical decision making
Exchange Rates
financial crisis analysis
Foreign Exchange Rates
Managerial Decision-Making
OLS Regression
Optimal Capital Structure
organisational resilience
Potential Slack
PRM
psychological factors in risk management
Risk Appetite
risk assessment methods
Risk Governance
Risk Management Culture
Risk Management Practices
Risk Tolerance
Sic Code
stakeholder management strategies
Strategic Risk
Strategic Risk Management
TRM
Uncertainty Shock
Vice Versa

Product details

  • ISBN 9781138016514
  • Weight: 1084g
  • Dimensions: 174 x 246mm
  • Publication Date: 17 Dec 2015
  • Publisher: Taylor & Francis Ltd
  • Publication City/Country: GB
  • Product Form: Hardback
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Managing risk in and across organizations has always been of vital importance, both for individual firms and for the globalized economy more generally. With the global financial crisis, a dramatic lesson was learnt about what happens when risk is underestimated, misinterpreted, or even overlooked. Many possible solutions have been competing for international recognition, yet, there is little empirical evidence to support the purported effectiveness of these regulations and structured control approaches, which leaves the field wide open for further interpretation and conceptual development.

This comprehensive book pulls together a team of experts from around the world in a range of key disciplines such as management, economics and accounting, to provide a comprehensive resource detailing everything that needs to be known in this emerging area. With no single text currently available, the book fills a much needed gap in our current understanding of strategic risk management, offering the potential to advance research efforts and enhance our approaches to effective risk management practices.

Edited by a globally recognized expert on strategic risk management, this book will be an essential reference for students, researchers, and professionals with an interest in risk management, strategic management and finance.

Torben Juul Andersen is Professor of Strategy and International Management and Director of the Center
for Global Strategic Responsiveness at Copenhagen Business School, Denmark