Time To Rethink Risk Management Surviving Future Global Crises
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Author |
: Tony Bendell |
Publisher |
: World Scientific |
Total Pages |
: 185 |
Release |
: 2023-03-10 |
ISBN-10 |
: 9789811264504 |
ISBN-13 |
: 9811264503 |
Rating |
: 4/5 (04 Downloads) |
Synopsis Time To Rethink Risk Management: Surviving Future Global Crises by : Tony Bendell
The purpose of this book is to change thinking about crises and risk. Risk management is today both a great success, an impressive achievement, and a notable failure. It works, and it doesn't work. It saves lives and property, and it fails to save lives and property. It helps and it hinders. Like all such management approaches, this has a lot to do with how it is employed and practiced, but in the case of risk management there is also a much more fundamental issue. The risk management framework, the risk management model, is wrong. Many organisations today treat all risks as point events, when the real risks involve systemic threats inherent in the global economy, and the uncertain nature of global society.The book argues that risk management has come a long way, but that evidence of its more recent failure is now all around us and that it needs to now change dramatically if it is to accommodate current realities. Whilst there is a clear need for us all to manage risk through a crisis, there is a lack of understanding of the nature of crises that is impeding progress. As well as providing a conceptual basis for changing the way risk management is undertaken, the book provides a blueprint for managing at organisational level through a global crisis, and, to a more limited extent, at government and other levels; how to prepare, what to do when it's happening and how and when to emerge into the post-crisis world.
Author |
: Tony Bendell |
Publisher |
: World Scientific Publishing Company |
Total Pages |
: 0 |
Release |
: 2023 |
ISBN-10 |
: 9811264481 |
ISBN-13 |
: 9789811264481 |
Rating |
: 4/5 (81 Downloads) |
Synopsis Time to Rethink Risk Management by : Tony Bendell
The purpose of this book is to change thinking about crises and risk. Risk management is today both a great success, an impressive achievement, and a notable failure. It works, and it doesn't work. It saves lives and property, and it fails to save lives and property. It helps and it hinders. Like all such management approaches, this has a lot to do with how it is employed and practiced, but in the case of risk management there is also a much more fundamental issue. The risk management framework, the risk management model, is wrong. Many organisations today treat all risks as point events, when the real risks involve systemic threats inherent in the global economy, and the uncertain nature of global society. The book argues that risk management has come a long way, but that evidence of its more recent failure is now all around us and that it needs to now change dramatically if it is to accommodate current realities. Whilst there is a clear need for us all to manage risk through a crisis, there is a lack of understanding of the nature of crises that is impeding progress. As well as providing a conceptual basis for changing the way risk management is undertaken, the book provides a blueprint for managing at organisational level through a global crisis, and, to a more limited extent, at government and other levels; how to prepare, what to do when it's happening and how and when to emerge into the post-crisis world.
Author |
: Daniel Wagner |
Publisher |
: Springer |
Total Pages |
: 439 |
Release |
: 2016-08-12 |
ISBN-10 |
: 9781349948604 |
ISBN-13 |
: 1349948608 |
Rating |
: 4/5 (04 Downloads) |
Synopsis Global Risk Agility and Decision Making by : Daniel Wagner
In Global Risk Agility and Decision Making, Daniel Wagner and Dante Disparte, two leading authorities in global risk management, make a compelling case for the need to bring traditional approaches to risk management and decision making into the twenty-first century. Based on their own deep and multi-faceted experience in risk management across numerous firms in dozens of countries, the authors call for a greater sense of urgency from corporate boards, decision makers, line managers, policymakers, and risk practitioners to address and resolve the plethora of challenges facing today’s private and public sector organizations. Set against the era of manmade risk, where transnational terrorism, cyber risk, and climate change are making traditional risk models increasingly obsolete, they argue that remaining passively on the side-lines of the global economy is dangerous, and that understanding and actively engaging the world is central to achieving risk agility. Their definition of risk agility taps into the survival and risk-taking instincts of the entrepreneur while establishing an organizational imperative focused on collective survival. The agile risk manager is part sociologist, anthropologist, psychologist, and quant. Risk agility implies not treating risk as a cost of doing business, but as a catalyst for growth. Wagner and Disparte bring the concept of risk agility to life through a series of case studies that cut across industries, countries and the public and private sectors. The rich, real-world examples underscore how once mighty organizations can be brought to their knees—and even their demise by simple miscalculations or a failure to just do the right thing. The reader is offered deep insights into specific risk domains that are shaping our world, including terrorism, cyber risk, climate change, and economic resource nationalism, as well as a frame of reference from which to think about risk management and decision making in our increasingly complicated world. This easily digestible book will shed new light on the often complex discipline of risk management. Readers will learn how risk management is being transformed from a business prevention function to a values-based framework for thriving in increasingly perilous times. From tackling governance structures and the tone at the top to advocating for greater transparency and adherence to value systems, this book will establish a new generation of risk leader, with clarion voices calling for greater risk agility. The rise of agile decision makers coincides with greater resilience and responsiveness in the era of manmade risk.
Author |
: Howard Davies |
Publisher |
: John Wiley & Sons |
Total Pages |
: 136 |
Release |
: 2015-03-06 |
ISBN-10 |
: 9780745688329 |
ISBN-13 |
: 0745688322 |
Rating |
: 4/5 (29 Downloads) |
Synopsis Can Financial Markets be Controlled? by : Howard Davies
The Global Financial Crisis overturned decades of received wisdomon how financial markets work, and how best to keep them in check.Since then a wave of reform and re-regulation has crashed overbanks and markets. Financial firms are regulated as neverbefore. But have these measures been successful, and do they go farenough? In this smart new polemic, former central banker andfinancial regulator, Howard Davies, responds with a resounding‘no’. The problems at the heart of the financial crisisremain. There is still no effective co-ordination of internationalmonetary policy. The financial sector is still too big and,far from protecting the economy and the tax payer, recentgovernment legislation is exposing both to even greater risk. To address these key challenges, Davies offers a radicalalternative manifesto of reforms to restore market discipline andcreate a safer economic future for us all.
Author |
: Augusto Lopez-Claros |
Publisher |
: Cambridge University Press |
Total Pages |
: 561 |
Release |
: 2020-01-23 |
ISBN-10 |
: 9781108476966 |
ISBN-13 |
: 1108476961 |
Rating |
: 4/5 (66 Downloads) |
Synopsis Global Governance and the Emergence of Global Institutions for the 21st Century by : Augusto Lopez-Claros
Identifies the major weaknesses in the current United Nations system and proposes fundamental reforms to address each. This title is also available as Open Access.
Author |
: Michael Regester |
Publisher |
: Kogan Page Publishers |
Total Pages |
: 265 |
Release |
: 2008-06-03 |
ISBN-10 |
: 9780749454432 |
ISBN-13 |
: 0749454431 |
Rating |
: 4/5 (32 Downloads) |
Synopsis Risk Issues and Crisis Management in Public Relations by : Michael Regester
The reputation of an organisation influences who we buy from, work for, supply to and invest in. Intangible assets, of which reputation forms an important part, account for well over 50 per cent of the value of the Fortune 500 and even more in the case of the FTSE 100. This fourth edition of Risk Issues and Crisis Management in Public Relations has been completely revised and aims to define reputation, explores how to value it and provides practical guidelines for effective reputation management. This latest edition features new sections on the effects of recent world events, Corporate Social Responsibility, climate change and sustainability, legal revisions and the use of the Internet in a crisis. Featuring new case studies on Oxfam V Starbucks, Sony, Dell, Ribena, BP, Bernard Matthews and the bird flu issue, Northern Rock, Walmart, Celebrity Big Brother 07, the Cadbury Salmonella outbreak, the Virgin train crash and the Buncefield Oil Explosion, the book charts how rapidly the reputation management agenda moves and yet how slowly business learns.
Author |
: Vassilios Ziakas |
Publisher |
: Goodfellow Publishers Ltd |
Total Pages |
: 285 |
Release |
: 2021-04-30 |
ISBN-10 |
: 9781911635925 |
ISBN-13 |
: 1911635921 |
Rating |
: 4/5 (25 Downloads) |
Synopsis Crisis Management and Recovery for Events by : Vassilios Ziakas
The first text to fully explore the issue of ownership and governance of international events. Split onto two distinct parts of ‘Theory’ and ‘Cases’, it presents cases from sports as well as non-sports events, in addition to general principles regarding ownership and governance based on historical, legal and managerial considerations.
Author |
: Jennifer Clapp |
Publisher |
: Wilfrid Laurier Univ. Press |
Total Pages |
: 289 |
Release |
: 2009-09-30 |
ISBN-10 |
: 9781554581986 |
ISBN-13 |
: 1554581982 |
Rating |
: 4/5 (86 Downloads) |
Synopsis The Global Food Crisis by : Jennifer Clapp
The global food crisis is a stark reminder of the fragility of the global food system. The Global Food Crisis: Governance Challenges and Opportunities captures the debate about how to go forward and examines the implications of the crisis for food security in the world’s poorest countries, both for the global environment and for the global rules and institutions that govern food and agriculture. In this volume, policy-makers and scholars assess the causes and consequences of the most recent food price volatility and examine the associated governance challenges and opportunities, including short-term emergency responses, the ecological dimensions of the crisis, and the longer-term goal of building sustainable global food systems. The recommendations include vastly increasing public investment in small-farm agriculture; reforming global food aid and food research institutions; establishing fairer international agricultural trade rules; promoting sustainable agricultural methods; placing agriculture higher on the post-Kyoto climate change agenda; revamping biofuel policies; and enhancing international agricultural policy-making. Co-published with the Centre for International Governance Innovation
Author |
: Intergovernmental Panel on Climate Change |
Publisher |
: Cambridge University Press |
Total Pages |
: 593 |
Release |
: 2012-05-28 |
ISBN-10 |
: 9781107025066 |
ISBN-13 |
: 1107025060 |
Rating |
: 4/5 (66 Downloads) |
Synopsis Managing the Risks of Extreme Events and Disasters to Advance Climate Change Adaptation by : Intergovernmental Panel on Climate Change
Extreme weather and climate events, interacting with exposed and vulnerable human and natural systems, can lead to disasters. This Special Report explores the social as well as physical dimensions of weather- and climate-related disasters, considering opportunities for managing risks at local to international scales. SREX was approved and accepted by the Intergovernmental Panel on Climate Change (IPCC) on 18 November 2011 in Kampala, Uganda.
Author |
: Mr.Stijn Claessens |
Publisher |
: International Monetary Fund |
Total Pages |
: 66 |
Release |
: 2013-01-30 |
ISBN-10 |
: 9781475561005 |
ISBN-13 |
: 1475561008 |
Rating |
: 4/5 (05 Downloads) |
Synopsis Financial Crises Explanations, Types, and Implications by : Mr.Stijn Claessens
This paper reviews the literature on financial crises focusing on three specific aspects. First, what are the main factors explaining financial crises? Since many theories on the sources of financial crises highlight the importance of sharp fluctuations in asset and credit markets, the paper briefly reviews theoretical and empirical studies on developments in these markets around financial crises. Second, what are the major types of financial crises? The paper focuses on the main theoretical and empirical explanations of four types of financial crises—currency crises, sudden stops, debt crises, and banking crises—and presents a survey of the literature that attempts to identify these episodes. Third, what are the real and financial sector implications of crises? The paper briefly reviews the short- and medium-run implications of crises for the real economy and financial sector. It concludes with a summary of the main lessons from the literature and future research directions.