Buch, Englisch, Band 20, 270 Seiten, Format (B × H): 160 mm x 241 mm, Gewicht: 606 g
Reihe: Risk, Governance and Society
Insights from Different Settings
Buch, Englisch, Band 20, 270 Seiten, Format (B × H): 160 mm x 241 mm, Gewicht: 606 g
Reihe: Risk, Governance and Society
ISBN: 978-3-030-88373-7
Verlag: Springer International Publishing
The book improves awareness and advances knowledge on the complex and changeable risk and riskmanagement fields of study. It interweaves among topical, up-to-date issues, peculiar, under-investigated contexts, and differentiated, complementary viewpoints on the same themes. Therefore, the book is a must-read for scholars and researchers, as well as practitioners and policy makers, interested in a better understanding of risk and risk management studies in different fields.
Zielgruppe
Research
Autoren/Hrsg.
Fachgebiete
- Wirtschaftswissenschaften Betriebswirtschaft Management Risikomanagement
- Sozialwissenschaften Soziologie | Soziale Arbeit Spezielle Soziologie Wirtschaftssoziologie, Arbeitssoziologie, Organisationssoziologie
- Sozialwissenschaften Politikwissenschaft Politische Systeme Verwaltungswissenschaft, Öffentliche Verwaltung
- Sozialwissenschaften Politikwissenschaft Regierungspolitik
- Wirtschaftswissenschaften Volkswirtschaftslehre Volkswirtschaftslehre Allgemein Makroökonomie
Weitere Infos & Material
Understanding risk debates through Mary Douglas: environment, inequality and COVID-19.- Analyzing model risks in risk aggregation of non-financial corporations.- The interruptive power of COVID-19 under a business continuity perspective.- Modelling the risk and reward trade-off for SMEs: a case study.- The relationship between ERM and performance revisited: empirical evidence from SMEs.- Risk management implementation by SMEs investigated through a lens of ERM maturity models.- Drivers of ERM in SMEs: which corporate governance features matter?.- Insights from the boardroom: opening the ‘black box’ of board risk oversight.- Supervisory pressure and risk management systems: empirical evidence from the banking context.- Setting up risk disclosure: case study insights from an integrated reporting pioneer.- Integrated report and credit risk: empirical evidence from a mandatory integrated reporting setting.- Lessons learnt and directions for future research on risk and risk management in diverse settings.