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Andersen, Torben Juul (Professor of Strategy and International Management, Professor of Strategy and International Management, Copenhagen Business School)

Managing Risk and Opportunity

The Governance of Strategic Risk-Taking

Buch

This book looks at the critical demands imposed on directors and leaders when faced with corporate risks in turbulent global markets. It shows show why successful risk management outcomes require ethical governance principles and organizational structures that enhance effective risk-taking practices by all actors.

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Produktdetails


Weitere Autoren: Garvey, Maxine (Program Leader, Program Leader, The World Bank) / Roggi, Oliviero (Professor of Finance; Visiting Professor of Finance, Professor of Finance; Visiting Professor of Finance, University of Florence; NYU Stern School of Business)
  • ISBN: 978-0-19-968785-5
  • EAN: 9780199687855
  • Produktnummer: 22681221
  • Verlag: Oxford University Press
  • Sprache: Englisch
  • Erscheinungsjahr: 2014
  • Seitenangabe: 204 S.
  • Masse: H22.2 cm x B14.4 cm x D1.7 cm 380 g
  • Abbildungen: Figures, Tables, and Boxes
  • Gewicht: 380
  • Sonstiges: Tertiary Education (US: College)

Über den Autor


International Management at the Copenhagen Business School and was Associate Dean of the MBA Program 2008-2012. He previously taught financial economics at George Mason University and Johns Hopkins University. He has held executive positions at Citibank/Citicorp Investment Bank, Unibank, SDS Securities and Hagler-Bailly Consulting. He is the author of numerous academic articles and books including Strategic Risk Management Practice (Cambridge University Press) andPerspectives on Strategic Risk Management (CBS Press). His articles have appeared in Strategic Management Journal, Journal of Management Studies, Long Range Planning, and Journal of Business Research among others. Dr Andersen holds a PhD in strategy and financial management from the University ofNorth Carolina at Chapel Hill, an MBA from McGill University, and an MSc in economics from the University of Copenhagen.Torben Juul Andersen is Professor of Strategy and International Management at the Copenhagen Business School and was Associate Dean of the MBA Program 2008-2012. He previously taught financial economics at George Mason University and Johns Hopkins University. He has held executive positions at Citibank/Citicorp Investment Bank, Unibank, SDS Securities and Hagler-Bailly Consulting.He is the author of numerous academic articles and books including Strategic Risk Management Practice (Cambridge University Press) and Perspectives on Strategic Risk Management (CBS Press). His articles have appeared in Strategic Management Journal, Journal of Management Studies, Long Range Planning, and Journal of Business Research among others. Dr Andersen holds a PhD in strategy and financial management from the University of North Carolina at Chapel Hill, an MBA from McGill University, andan MSc in economics from the University of Copenhagen.Oliviero Roggi is Professor of Finance at the University of Florence. He was Visiting Scholar at NYU Stern School of Business in 2009, Salomon Center Research Fellow in 2010, and Visiting Associate Professor of Finance in 2011. Dr Roggi has published papers and books on risk management and rating models including Measuring and Managing Risk published by World Scientific Press with Ed Altman (eds). He co-authored the third Italian edition of Applied Corporate Finance with Aswath Damodaran andthe IFC World Bank handbook Risk Taking: A Corporate Governance Perspective with Aswath Damodaran and Maxine Garvey. Dr Roggi founded the Finanza Firenze Research Center in 2007 and partnered with Professor Ed Altman in 2008 to establish the International Risk Management Conference. He is a consultantfor the European Commission Regione Toscana and member of the Scientific Committee of the Country Risk Forum of the Italian Bankers Association (Associazione Bancaria Italiana - ABI).

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