
Strategic Risk Management
A Research Overview
Routledge (Publisher)
1st Edition
Published on 13. August 2019
Book
Hardback
112 pages
978-1-138-31534-1 (ISBN)
Shipment within 10-20 days
Description
Organizations face challenges in adapting their current business and operational activities to dynamic contexts. Successful companies share a common characteristic of dealing with the emergent risks and threats in responses that generate viable solutions.
Strategic risk management (SRM) is a multidisciplinary and rather fractured field of study, which creates significant challenges for research. This short-form book provides an expert overview of the topic, providing insight into the theory and practice.
Essential reading for strategic management researchers, the authors frame the fundamental principles, emerging challenges and responses for the future, which will also provide valuable insights for adjacent business disciplines and beyond.
Strategic risk management (SRM) is a multidisciplinary and rather fractured field of study, which creates significant challenges for research. This short-form book provides an expert overview of the topic, providing insight into the theory and practice.
Essential reading for strategic management researchers, the authors frame the fundamental principles, emerging challenges and responses for the future, which will also provide valuable insights for adjacent business disciplines and beyond.
Reviews / Votes
'This book performs an important service to the field of risk management by bringing together research spanning the various disciplines that have taken an interest in the field. In doing so, it advances our understanding of enterprise risk management and clarifies the concept of strategic risk management.The book provides an important base on which future development of research in strategic risk management will rest.' -- Philip Bromiley, Dean's Professor in Strategic Management, Merage School of Business, University of California, Irvine, USA'This is a very timely book. Managing the diverse challenges associated with strategic risk management is a pressing and daunting challenge. This book provides a concise and insightful picture of the state of the art in strategic risk management research and practice.' -- Kent D. Miller, Professor of Management, Michigan State University, USA
'In a VUCA world where the longevity of companies is declining ever more, the next step in the development of risk management should be a focus on strategic risk management. To ensure that companies live up the expectations of sustaining long term value creation, there is a need for a strategic perspective on risk management. This book will most certainly help you gain a better understanding of what this requires and what should be taken into account.' -- Leen Paape, Professor of Corporate Governance, Nyenrode Business University; Chairman, Nyenrode Corporate Governance Institute, Netherlands
More details
Series
Language
English
Place of publication
London
United Kingdom
Publishing group
Taylor & Francis Ltd
Target group
College/higher education
Illustrations
1 s/w Abbildung, 1 s/w Zeichnung, 1 s/w Tabelle
1 Tables, black and white; 1 Line drawings, black and white; 1 Illustrations, black and white
Dimensions
Height: 222 mm
Width: 145 mm
Thickness: 10 mm
Weight
295 gr
ISBN-13
978-1-138-31534-1 (9781138315341)
Copyright in bibliographic data and cover images is held by Nielsen Book Services Limited or by the publishers or by their respective licensors: all rights reserved.
Schweitzer Classification
Other editions
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Book
approx. 08/2026
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Routledge
€69.50
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Additional editions

Book
01/2023
1st Edition
Routledge
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E-Book
07/2019
1st Edition
Routledge
€25.99
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E-Book
07/2019
1st Edition
Routledge
€25.99
Available for download
Persons
Torben Juul Andersen is a Professor of Strategy and International Management and Director of the Global Strategic Responsiveness Initiative at the Copenhagen Business School.
Johanna Sax received her PhD in Strategic Risk Management from the Copenhagen Business School where she is engaged as a Censor and is a Research Associate with the Department of International Economics, Government and Business.
Johanna Sax received her PhD in Strategic Risk Management from the Copenhagen Business School where she is engaged as a Censor and is a Research Associate with the Department of International Economics, Government and Business.
Content
1. Introduction
2. Background, concepts, and frameworks
3. Foundational studies
4. Empirical studies and insights
5. Current and emerging themes
References
Index
2. Background, concepts, and frameworks
3. Foundational studies
4. Empirical studies and insights
5. Current and emerging themes
References
Index