Strategic risk management practice: how to deal effectively with major corporate exposures/ Torben Juul Andersen and Peter Winther Schrøder.
Material type: TextPublication details: New york: Cambridge University Press, 2011Description: xxi, 245p. illISBN: 9781107601901; 9780511816017Subject(s): Strategic planning | Risk management | Financial risk managementDDC classification: 658.155Item type | Current library | Call number | Status | Date due | Barcode | Item holds |
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General Books | Central Library, Sikkim University General Book Section | 658.155 AND/S (Browse shelf(Opens below)) | Available | P17837 |
Browsing Central Library, Sikkim University shelves, Shelving location: General Book Section Close shelf browser (Hides shelf browser)
658.15224 SAR/F Fundraising Management : analysis, planning and practice/ | 658.15224 STE/W Writing Successful Grant Proposals from the Top Down and Bottom Up/ | 658.153 OEC/I Improving financial education and awareness on insurance and private pensions/ | 658.155 AND/S Strategic risk management practice: how to deal effectively with major corporate exposures/ | 658.155 CHA/D Derivatives and risk management basics/ | 658.155 CHA/D Derivatives and risk management basics/ | 658.155 CHA/D Derivatives and risk management basics/ |
1. The strategic nature of corporate risk management --
2. Economic exposures in corporate risk management --
3. Managing market-related business exposures --
4. Extending the risk management perspective --
5. Integrative risk management perspectives --
6. Current risk management practice and the rise of ERM --
7. Strategic risk analyses --
8. Strategic risk management amendments to the ERM framework --
9. Strategic risk management.
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