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Strategic Risk Management Practice: How to Deal Effectively with Major Corporate Exposures - Softcover

 
9781107601901: Strategic Risk Management Practice: How to Deal Effectively with Major Corporate Exposures

Synopsis

At a time when corporate scandals and major financial failures dominate newspaper headlines, the importance of good risk management practices has never been more obvious. The absence or mismanagement of such practices can have devastating effects on exposed organizations and the wider economy (Barings Bank, Enron, Lehmann Brothers, Northern Rock, to name but a few). Today's organizations and corporate leaders must learn the lessons of such failures by developing practices to deal effectively with risk. This book is an important step towards this end. Written from a European perspective, it brings together ideas, concepts and practices developed in various risk markets and academic fields to provide a much-needed overview of different approaches to risk management. It critiques prevailing enterprise risk management frameworks (ERMs) and proposes a suitable alternative. Combining academic rigour and practical experience, this is an important resource for graduate students and professionals concerned with strategic risk management.

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Book Description

At a time when major financial failures dominate newspaper headlines, the importance of good risk management practices has never been more obvious. This book brings together ideas, concepts and practices developed in various risk markets and academic fields to provide a much-needed overview of different approaches to risk management.

About the Author

Torben Juul Andersen is Professor at the Center for Strategic Management and Globalization, Copenhagen Business School. His professional career includes positions as Senior Consultant at PHB Hagler Bailly Inc., Arlington; Senior Vice President at Unibank A/S, Copenhagen; Managing Director at SDS Securities A/S, Copenhagen; Vice President at Citicorp Investment Bank, London; and Corporate Bank Head with Citibank, N.A. He is the author of several books on risk management, including Global Derivatives (2006) and Currency and Interest Rate Hedging (1993).

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  • PublisherCambridge University Press
  • Publication date2011
  • ISBN 10 1107601908
  • ISBN 13 9781107601901
  • BindingPaperback
  • LanguageEnglish

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Andersen, T. J., Schroder, P. W.
Published by Cambridge University Press, 2011
ISBN 10: 1107601908 ISBN 13: 9781107601901
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