The Risk in Risk Management: Financial Organizations & the Problem of Conformity - Vit, Gregory B (McGill University, Canada) - Grāmatas - Taylor & Francis Ltd - 9780415509855 - 2013. gada 4. jūnijs
Ja vāks un nosaukums nesakrīt, pareizs ir nosaukums

The Risk in Risk Management: Financial Organizations & the Problem of Conformity 1. izdevums

Cena
€ 123,99

Pasūtīts no attālās noliktavas

Paredzamā piegāde . gada 24. sept. - . gada 8. okt.
Saņemiet paziņojumus par jauniem Vit, Gregory B (McGill University, Canada) izdevumiem
Pievienot savam iMusic vēlmju sarakstam

Not rated yet

Pieejams arī kā:

Banks take very large risks by consistently herding in the same perilous directions while believing they are safe and unique. This book presents a risk management framework to understand conformity and deviance within investment banks and other large organizations. It suggests that some groups understand the dynamics of this conformity to their advantage. This requires a deeper understanding of the risk in risk management. Fraudsters can game the system to their advantage legally and illegally; therefore risk managers must understand the interplay of multiple logics in order to govern and manage risk.

Featuring short illustrative cases of massive risk mismanagement, this book walks the reader through four risk management perspectives (economic, institutional, evolutionary and contrarian) that explain why and how economic rationality is overridden by social forces. By understanding conformity and deviance, groups within organizations will be better equipped to manage risk and go against the tides of conformity to their advantage.


160 pages, 21 black & white tables, 15 black & white line drawings

Mediji Grāmatas     Paperback Book   (Grāmata ar mīksto vāku un līmēto muguru)
Izlaists 2013. gada 4. jūnijs
ISBN13 9780415509855
Izdevēji Taylor & Francis Ltd
Lapas 160
Izmēri 157 × 227 × 10 mm   ·   230 g
Valoda Angļu  

Vairāk no tā paša izdevēja