Making risk management work, Murray-webster, Ruth Pullan, Penny
Старое издание
Автор: Pullan, Penny Murray-webster, Ruth Название: Short guide to facilitating risk management ISBN: 1409407306 ISBN-13(EAN): 9781409407300 Издательство: Taylor&Francis Цена: 4592.00 р. Наличие на складе: Поставка под заказ. Описание: Sets out a practical approach to how the risk management process can deliver value through effective facilitation. This book is illustrated with practical examples from the authors` experience and their findings from interviews and surveys to help you get the best from your groups when they`re working together, both face-to-face and virtually.
A practical guide to adopting an accurate risk analysis methodology
The Failure of Risk Management provides effective solutionstosignificantfaults in current risk analysis methods. Conventional approaches to managing risk lack accurate quantitative analysis methods, yielding strategies that can actually make things worse. Many widely used methods have no systems to measure performance, resulting in inaccurate selection and ineffective application of risk management strategies. These fundamental flaws propagate unrealistic perceptions of risk in business, government, and the general public. This book provides expert examination of essential areas of risk management, including risk assessment and evaluation methods, risk mitigation strategies, common errors in quantitative models, and more. Guidance on topics such as probability modelling and empirical inputs emphasizes the efficacy of appropriate risk methodology in practical applications.
Recognized as a leader in the field of risk management, author Douglas W. Hubbard combines science-based analysis with real-world examples to present a detailed investigation of risk management practices. This revised and updated second edition includes updated data sets and checklists, expanded coverage of innovative statistical methods, and new cases of current risk management issues such as data breaches and natural disasters.
Identify deficiencies in your current risk management strategy and take appropriate corrective measures
Adopt a calibrated approach to risk analysis using up-to-date statistical tools
Employ accurate quantitative risk analysis and modelling methods
Keep pace with new developments in the rapidly expanding risk analysis industry
Risk analysis is a vital component of government policy, public safety, banking and finance, and many other public and private institutions. The Failure of Risk Management: Why It's Broken and How to Fix It is a valuable resource for business leaders, policy makers, managers, consultants, and practitioners across industries.
Автор: Jalilvand Abol, Malliaris Tassos Название: Risk Management and Corporate Governance ISBN: 1138960659 ISBN-13(EAN): 9781138960657 Издательство: Taylor&Francis Рейтинг: Цена: 7348.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: The book allows academics and practitioners to assess the state of international research in risk management and corporate governance. The chapters overlay the areas of risk management and corporate governance on both financial and operating decisions of a firm while treating legal and political environments as externalities to decisions undertaken.
Описание: Tourism destinations are traditionally dominated by small and medium-sized enterprises that provide a wide range of products to tourists such as accommodation, travel services, transportation, recreation and entertainment, and food and beverage services. New knowledge and global risks have emerged, and small and medium-sized tourism enterprises (SMTEs) are now highly vulnerable.
Recently, the COVID-19 pandemic has hit the whole world and caused a change in the tourism paradigm. Many SMTEs around the world have been severely affected by the need to completely shut down their activities for months, and expectations for recovery in the medium term are not optimistic. SMTEs do not have the capacity and increased resources—financial, human, operational—of large companies to prepare for crisis contingencies (planning) and respond to the challenges they face. They simply do not have the resources or knowledge for risk analysis and the creation of crisis teams or plans.
This is an area of growing importance and concern, both in the public and private sectors, where specific research and more in-depth knowledge are needed.
Risk, Crisis, and Disaster Management in Small and Medium-Sized Tourism Enterprises connects research in the field of crisis management with the risks affecting small and medium-sized tourism enterprises. The book presents prevailing research on SME-related planning, response, and recovery during crisis situations, further propelling much-needed literature on these challenges in today's tourism industry. The chapters cover important topics such as terrorism threats, disaster management, resilient strategies, pandemic management, and risk analysis.
The target audience of this book will be composed of professionals working in the tourism and hospitality industries, restaurateurs, travel agencies, hotel executives, directors, managers, crisis and risk planners, policymakers, government officials, researchers, and academicians who are interested in the threats to tourism businesses and how small and medium-sized enterprises can manage and navigate these risks.
Автор: Van Oss Название: Why Organizational Change Fails ISBN: 113895991X ISBN-13(EAN): 9781138959910 Издательство: Taylor&Francis Рейтинг: Цена: 7348.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Why Organizational Change Fails is about the sturdy and stable aspect of organisations. The purpose of the book is to make change managers and OD consultants sensitive to signals of the robust part of an organization, helping them to see something different than they usually see: signs of change.
Автор: John E. Marthinsen Название: Demystifying Global Macroeconomics ISBN: 1547417609 ISBN-13(EAN): 9781547417605 Издательство: Walter de Gruyter Рейтинг: Цена: 11148.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание:
Demystifying Global Macroeconomics (DGM) provides readers with a practical, working use of international macroeconomics. For serious business and political leaders, understanding the global interconnections in economic and financial markets is crucial for making informed and well-timed decisions. DGM takes the mystery out of seemingly complex economic interactions by providing an easy-to-understand framework within which to analyze the effects of economic, social, and political shocks to a nation’s economy.
John E. Marthinsen integrates the three major macroeconomic sectors, which are the credit market, goods and services market, and foreign exchange market. The author provides the reader with contemporary examples that virtually leap off the front pages of our daily news reports and confront business managers and politicians with choices and decisions to make. For example, DGM shows how to use macroeconomic tools and a global framework to analyze the effects of:
U.S. tariffs on China and China’s tariffs on the United States
Infrastructure spending
Speculative capital outflows from nations under stress, such as Argentina and Turkey, and speculative capital inflows into safe-haven countries, such as Switzerland
Demonetization in India
Successfully fighting the opioid abuse problem in the United States
Border adjustment tax
Monetary policies
Fiscal policies
Marthinsen keeps readers visually engaged with the strategic use of figures, tables, charts, and illustrative exhibits. Demystifying Global Macroeconomics emphasizes the interaction among markets and equips readers with a macroeconomic perspective that will last (and be used) for years.
If you are adopting this book for a teaching course, please contact Stefan.Giesen@degruyter.com to request additional instructional material.
This because trading requires a lot of money, and the risk of losing that money is high. All these statements could be true, but if you keep listening, I'll explain to you how all this stuff is not always real.
In most cases, people lose their money, because, basically, they are gambling.
They do not approach the system with the right mindset and strategies.
It is not because they are stupid or lack a conscience. But it is not possible to have results without studying.
In this guide. We are going to explain this
A step by step method with how not to gamble options.
Here is what you will learn
1. From the basics to advanced concepts
2. The right mindset for success
3. Techniques for beginners and advanced traders
4. Strategies and methods
5. How to use swing trading to literally make the difference
Even if you start from scratch, you can start trading and get results and become a good trader literally by studying and applying the concepts here
NOW SCROLL UP AND CLICK ON THE "BUY NOW" BUTTON AND AVOID ALL THE BLUNDERS YOU HAVE SEEN BEFORE
Options are the most fascinating trading tool on the market given their versatility, but options trading is no breeze.
If you want to try your hand at options trading you must necessarily consider investing in good training.
If you think online trading is a way to make money easily or, on the contrary, that it is difficult and reserved only for those with a lot of money or experience, you are very wrong and will never reach your goal.
The trick is to learn what you buy, when, how much, using which strategy, and when to sell.
But, is living from trading possible?
What are the requirements?
What is the initial capital that you need to have to do it? But, is living from trading possible?
Many beginners who are approaching the financial markets for the first time dream of making a living from trading.
This guide explains, step by step, how to achieve the goal of living from trading, even for those who start from scratch both as initial capital and as experience and knowledge.
In this book, you will:
Clearly Understand What Options Are, how do they work, where they are traded, and what you need to do to start trading. Everything easy explained for beginners.
Learn the Best and Effective Strategies for Beginners to face the markets at your best, minimizing the risks of losing money and maximizing profits.
Find Out How to Find a Brokerage to Begin Your Journey, how to analyze the market and conduct technical analysis, and which options to trade. You will be sure to have the right information to make always the right choices.
Discover How to Reduce Risks and Avoid Common Mistakes that could lead you to lose money, self-esteem, and giving up in your career as a trader.
Acquire the Right Mindset and Psychology to face the markets and deal with money. If you want a long-term career as a trader, you need to learn to stay calm during trades and avoid emotional mistakes.
... & Lot More
One of the best ways to generate high returns in the financial markets is by trading options.
If you are looking to improve your salary, this guide explains how to make money by trading in a serious, safe, and profitable way.
In this book, you will find guidance on how to trade options, be financially independent, and make it into a career even if you have never traded options before.
Order Now and Start Becoming The Trader of The Year
Options are the most fascinating trading tool on the market given their versatility, but options trading is no breeze.
If you want to try your hand at options trading you must necessarily consider investing in good training.
Learn the Best and Effective Strategies for Beginners to face the markets at your best, minimizing the risks of losing money and maximizing profits.
Find Out How to Find a Brokerage to Begin Your Journey, how to analyze the market and conduct technical analysis, and which options to trade. You will be sure to have the right information to make always the right choices.
Discover How to Reduce Risks and Avoid Common Mistakes that could lead you to lose money, self-esteem, and giving up in your career as a trader.
Acquire the Right Mindset and Psychology to face the markets and deal with money. If you want a long-term career as a trader, you need to learn to stay calm during trades and avoid emotional mistakes.
... & Lot More
One of the best ways to generate high returns in the financial markets is by trading options.
If you are looking to improve your salary, this guide explains how to make money by trading in a serious, safe, and profitable way.
In this book, you will find guidance on how to trade options, be financially independent, and make it into a career even if you have never traded options before.
Order Now and Start Becoming The Trader of The Year
Автор: Fischhoff Название: Risk: A Very Short Introduction ISBN: 0199576203 ISBN-13(EAN): 9780199576203 Издательство: Oxford Academ Рейтинг: Цена: 1582.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Risk is everywhere - from genetically modified crops, dams, and stem-cell therapy to heartbreak, online predators, inflation, and robbery. This Very Short Introduction examines what science has learned about how people deal with risks, what we can learn through decision theory, and how we can evaluate risk in our own lives.
Digital Asset Valuation and Cyber Risk Measurement: Principles of Cybernomics is a book about the future of risk and the future of value. It examines the indispensable role of economic modeling in the future of digitization, thus providing industry professionals with the tools they need to optimize the management of financial risks associated with this megatrend. The book addresses three problem areas: the valuation of digital assets, measurement of risk exposures of digital valuables, and economic modeling for the management of such risks. Employing a pair of novel cyber risk measurement units, bitmort and hekla, the book covers areas of value, risk, control, and return, each of which are viewed from the perspective of entity (e.g., individual, organization, business), portfolio (e.g., industry sector, nation-state), and global ramifications. Establishing adequate, holistic, and statistically robust data points on the entity, portfolio, and global levels for the development of a cybernomics databank is essential for the resilience of our shared digital future. This book also argues existing economic value theories no longer apply to the digital era due to the unique characteristics of digital assets. It introduces six laws of digital theory of value, with the aim to adapt economic value theories to the digital and machine era.
Comprehensive literature review on existing digital asset valuation models, cyber risk management methods, security control frameworks, and economics of information security
Discusses the implication of classical economic theories under the context of digitization, as well as the impact of rapid digitization on the future of value
Analyzes the fundamental attributes and measurable characteristics of digital assets as economic goods
Discusses the scope and measurement of digital economy
Introduces novel concepts, models, and theories, including opportunity value, Digital Valuation Model, six laws of digital theory of value, Cyber Risk Quadrant, and most importantly, cyber risk measures hekla and bitmort
Introduces cybernomics, that is, the integration of cyber risk management and economics to study the requirements of a databank in order to improve risk analytics solutions for (1) the valuation of digital assets, (2) the measurement of risk exposure of digital assets, and (3) the capital optimization for managing residual cyber risK
Provides a case study on cyber insurance
Автор: Weirich Название: Models of Decision-Making ISBN: 1107077796 ISBN-13(EAN): 9781107077799 Издательство: Cambridge Academ Рейтинг: Цена: 14256.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Classical decision theory evaluates entire worlds, specified so as to include everything a decision-maker cares about. Paul Weirich argues that we need only compare small parts of the options we face in order to make a rational decision, and explains how we can simplify and streamline our choices.
Автор: Weirich Paul Название: Models of Decision-Making ISBN: 1107434785 ISBN-13(EAN): 9781107434783 Издательство: Cambridge Academ Рейтинг: Цена: 5069.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Classical decision theory evaluates entire worlds, specified so as to include everything a decision-maker cares about. Paul Weirich argues that we need only compare small parts of the options we face in order to make a rational decision, and explains how we can simplify and streamline our choices.
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