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Risk Management

How to Assess, Transfer and Communicate Critical Risks - Previously published in hardcover
BuchKartoniert, Paperback
142 Seiten
Englisch
Springererschienen am09.11.20142013
It explains how different risk management perspectives should be combined, and in particular how the corporate governance vision should be integrated with the perspectives of operations management, financial management, and business continuity management.mehr
Verfügbare Formate
BuchGebunden
EUR106,99
BuchKartoniert, Paperback
EUR96,29
E-BookPDF1 - PDF WatermarkE-Book
EUR96,29

Produkt

KlappentextIt explains how different risk management perspectives should be combined, and in particular how the corporate governance vision should be integrated with the perspectives of operations management, financial management, and business continuity management.
ZusammenfassungBusinesses now operate amid a welter of risks that exist at various levels, both inside companies and at the network level. This handbook provides the latest integrated managerial approaches that help protect businesses from adverse events and their effects.
Details
ISBN/GTIN978-88-470-5576-6
ProduktartBuch
EinbandartKartoniert, Paperback
Verlag
Erscheinungsjahr2014
Erscheinungsdatum09.11.2014
Auflage2013
Seiten142 Seiten
SpracheEnglisch
Gewicht260 g
IllustrationenX, 142 p.
Artikel-Nr.15547104
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Inhalt/Kritik

Inhaltsverzeichnis
Preface.- Part I Reference Theories.- Chapter 1 From Social and Natural Science Comes a Historical Overview on the Concepts of Uncertainty and Risk.- Chapter 2 Governance and Risk Management.- Chapter 3 Risk Management Perspectives.- Part II Risk Assessment: Approaches, Techniques and Good Practices.- Chapter 4 The Need for an Enterprise-Wide Approach to Risk Management.- Chapter 5 Risk Identification.- Chapter 6 Risk Analysis.- Part III Risk Treatment: Approaches, Techniques and Good Practices.- Chapter 7 Risk Treatment.- Part IV Supply Chain Risk Management and Business Continuity.- Chapter 8 Operational Risk and Supply Chain Risk Management.mehr

Autor

Antonio Borghesi is Full Professor at the Faculty of Business Economics at the University of Verona (Italy). Since he published his first publications in risk management in 1976, he has dedicated large time in creating and sharing the risk management culture and knowledge. He founded the Post Graduated Course in Risk Management and the LogiMaster - Master in Logistics and Supply Chain Management. He served as consultant in public and private companies, was member of RIMS (Risk and Insurance Management Society) - New York and other Risk Management organizations, Member of the ISO Working Group on the 31.000. He served as Director of the Department of Studi Finanziari Industriali e Tecnologici at the University of Verona. He is now an elected member of the Italian Parliament. Barbara Gaudenzi is Associate Professor at the Faculty of Business Economics at the University of Verona (Italy). She is also Director of two post graduated masters at the Faculty of Business Economics in Verona (Italy): the Post Graduated Course in Risk Management and the LogiMaster - Master in Logistics and Supply Chain Management. Barbara has conducted extensive research on how companies assess and manage risks, within organizations and in their supply chains. She has published over 30 research and practitioner articles and books chapters, many of which focus on risk management and supply chain management. Barbara coordinates and is involved in research projects with companies and other organizations. She is member of the ISCRIM network (Supply Chain Risk Management Network) and Italian representative of the United Nations Environment Programme - Finance Initiative.
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