
Strategic Risk Management and Sustainable Banking
Routledge (Publisher)
1st Edition
Will be published approx. on 30. June 2026
142 pages
978-1-040-56017-4 (ISBN)
System requirements
for PDF without DRM
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Description
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This book examines the role of strategic risk management (SRM) in the transformation of banks and their customers towards more sustainable business practices. Banks play a particularly important role in this transformation because they have been tasked with redirecting capital flows to sustainable investments.
This book has two inter-related aims: to provide the reader with an analysis of the challenges associated with implementing strategic risk management as discussed in the existing literature, as well as to conduct an empirical investigation into SRM implementation in a large European bank headquartered in the Nordic region. The book consists of seven chapters. Chapters 1-3 introduce the main concepts, research questions, and theoretical framework. Chapters 4-6 describe the integration challenges associated with SRM in an empirical context, that is, Nordbank. Finally, Chapter 7 presents key insights and avenues for future research.
The book will benefit readers in a variety of ways, including providing an overview of the existing literature, the latest developments in environmental, social, and governance (ESG) regulation, and in-depth empirical insights into an organisation and its management who are currently implementing SRM as part of their sustainable transformation. It is intended for scholars and students in the business and management disciplines, as well as the sub-fields of accounting, finance, and strategic management.
This book has two inter-related aims: to provide the reader with an analysis of the challenges associated with implementing strategic risk management as discussed in the existing literature, as well as to conduct an empirical investigation into SRM implementation in a large European bank headquartered in the Nordic region. The book consists of seven chapters. Chapters 1-3 introduce the main concepts, research questions, and theoretical framework. Chapters 4-6 describe the integration challenges associated with SRM in an empirical context, that is, Nordbank. Finally, Chapter 7 presents key insights and avenues for future research.
The book will benefit readers in a variety of ways, including providing an overview of the existing literature, the latest developments in environmental, social, and governance (ESG) regulation, and in-depth empirical insights into an organisation and its management who are currently implementing SRM as part of their sustainable transformation. It is intended for scholars and students in the business and management disciplines, as well as the sub-fields of accounting, finance, and strategic management.
More details
Series
Edition
1. Auflage
Language
English
Place of publication
London
United Kingdom
Publishing group
Taylor & Francis Ltd
Target group
College/higher education
Illustrations
4 Tables, black and white
File size
63,05 MB
ISBN-13
978-1-040-56017-4 (9781040560174)
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
Additional editions

Jason Crawford | Fredrik Nilsson
Strategic Risk Management and Sustainable Banking
Book
approx. 06/2026
1st Edition
Routledge
€179.50
Not yet published
Persons
Jason Crawford is an Assistant Professor at the Department of Business Studies at Uppsala University and an Affiliated Researcher at Uppsala University Future Institutes (UUniFI); Uppsala University Conflicting Objectives Research Nexus (UUniCORN), Sweden.
Fredrik Nilsson is a Professor (Chair) of Business Studies (Accounting) at Uppsala University and an Associated Professor at Uppsala University Future Institutes (UUniFI); Uppsala University Conflicting Objectives Research Nexus (UUniCORN), Sweden.
Fredrik Nilsson is a Professor (Chair) of Business Studies (Accounting) at Uppsala University and an Associated Professor at Uppsala University Future Institutes (UUniFI); Uppsala University Conflicting Objectives Research Nexus (UUniCORN), Sweden.
Content
1. Strategic Risk Management and Sustainable Banking: From Concepts to Practice 2. Implementing Strategic Risk Management: The Importance of Integration 3. Banking on Sustainability: The ESG Integration Challenge 4. The Nordbank Case: Sustainability as Strategic Imperative 5. Risk Governance: Integrating ESG into Governance Structures 6. ESG Management: Integrating ERM into MCS 7. Conclusions: Key Insights and Future Directions
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