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The Failure of Risk Management

Why It's Broken and How to Fix It - Second Edition

Parametre

  • 336 stránok
  • 12 hodin čítania

Viac o knihe

This practical guide addresses significant flaws in current risk analysis methods, highlighting that conventional approaches often lack accurate quantitative analysis, leading to strategies that can worsen situations. Many prevalent methods fail to include performance measurement systems, resulting in ineffective risk management strategies and unrealistic perceptions of risk across various sectors. The book offers an expert examination of critical areas in risk management, such as assessment and evaluation methods, mitigation strategies, and common errors in quantitative models. It emphasizes the importance of appropriate risk methodology through guidance on probability modeling and empirical inputs. Author Douglas W. Hubbard, a recognized leader in risk management, combines scientific analysis with real-world examples to provide a thorough investigation of practices in the field. This revised second edition features updated data sets, expanded coverage of innovative statistical methods, and new case studies on contemporary issues like data breaches and natural disasters. Readers can identify deficiencies in their current risk strategies, adopt calibrated approaches using modern statistical tools, and stay informed about developments in the rapidly evolving risk analysis industry. This resource is invaluable for business leaders, policymakers, managers, consultants, and practitioners across various sectors.

Nákup knihy

The Failure of Risk Management, Douglas W. Hubbard

Jazyk
Rok vydania
2020
Väzba
(pevná),
Stav knihy
Veľmi dobrá
Cena
23,49 €

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Titul
The Failure of Risk Management
Podtitul
Why It's Broken and How to Fix It - Second Edition
Jazyk
anglicky
Rok vydania
2020
Väzba
pevná
Počet strán
336
ISBN10
111952203X
ISBN13
9781119522034
Série
Anotácia
This practical guide addresses significant flaws in current risk analysis methods, highlighting that conventional approaches often lack accurate quantitative analysis, leading to strategies that can worsen situations. Many prevalent methods fail to include performance measurement systems, resulting in ineffective risk management strategies and unrealistic perceptions of risk across various sectors. The book offers an expert examination of critical areas in risk management, such as assessment and evaluation methods, mitigation strategies, and common errors in quantitative models. It emphasizes the importance of appropriate risk methodology through guidance on probability modeling and empirical inputs. Author Douglas W. Hubbard, a recognized leader in risk management, combines scientific analysis with real-world examples to provide a thorough investigation of practices in the field. This revised second edition features updated data sets, expanded coverage of innovative statistical methods, and new case studies on contemporary issues like data breaches and natural disasters. Readers can identify deficiencies in their current risk strategies, adopt calibrated approaches using modern statistical tools, and stay informed about developments in the rapidly evolving risk analysis industry. This resource is invaluable for business leaders, policymakers, managers, consultants, and practitioners across various sectors.