Koutsoukis, Nikitas-Spiros (2010): Risk Management Standards: Towards a contemporary, organisation-wide management approach. Published in: International Journal of Business Policy and Economics , Vol. 3, No. 1 (2010): pp. 47-64.
Preview |
PDF
MPRA_paper_61031.pdf Download (630kB) | Preview |
Abstract
Risk management has been progressively evolving into a systemic approach for organisational decision making in today’s dynamic economic environment of the global era. In this context, risk management is reaching beyond its traditional finance and insurance application context and is entering the sphere of generic, organisation-wide management approaches. In support of this argument we consider four generic risk management standards issued at the institutional, national or international level, and identify their management-related attributes and characteristics.
Item Type: | MPRA Paper |
---|---|
Original Title: | Risk Management Standards: Towards a contemporary, organisation-wide management approach |
Language: | English |
Keywords: | Risk management; risk management standards; management; management approach; decision making; organisational decision making. |
Subjects: | D - Microeconomics > D8 - Information, Knowledge, and Uncertainty > D81 - Criteria for Decision-Making under Risk and Uncertainty G - Financial Economics > G3 - Corporate Finance and Governance > G32 - Financing Policy ; Financial Risk and Risk Management ; Capital and Ownership Structure ; Value of Firms ; Goodwill M - Business Administration and Business Economics ; Marketing ; Accounting ; Personnel Economics > M1 - Business Administration |
Item ID: | 61031 |
Depositing User: | Prof Nikitas-Spiros Koutsoukis |
Date Deposited: | 02 Jan 2015 11:07 |
Last Modified: | 27 Sep 2019 00:40 |
References: | 1. Abrahams, D. (2008) Brand Risk: Adding Risk Literacy to Brand Management, Gower Publishing. 2. AIRMIC (2005) Risk management standards comparison, AIRMIC. Available online at http://www.airmic.com/en/Library/Risk_Management_Standards/Comparison_of_Standards.cfm - accessed on 20.11.2009 3. AIRMIC, ALARM, IRM (2002) A Risk Management Standard. AIRMIC, ALARM, IRM. Available online at http://www.theirm.org/publications/PUstandard.html - accessed on 20.11.2009. 4. Akintoye A.; Beck, M. & Hardcastle, C. (Eds) (2003) Public Private Partnerships: Managing risks and opportunities, Blackwell. 5. Alexander, D. (2002) Principles of emergency planning and management, Terra Publishing. 6. AS/NZS– Standards Australia/Standards New Zealand (2004), Risk management, AS/NZS. 7. Augustine, N. (1995) Managing the crisis you tried to prevent, Harvard Business Review, November-December 1995, HBR. 8. Basel Committee on Banking Supervision. (1988). International Convergence of Capital Measurement and Capital Standards (updated to 1998), BIS–Bank for International Settlements. Available online at http://www.bis.org/publ/bcbsc111.htm - accessed on 20.11.2009 9. Basel Committee on Banking Supervision. (2004). Basel II: International Convergence of Capital Measurement and Capital Standards: a Revised Framework. BIS–Bank for International Settlements. Available online at http://www.bis.org/publ/bcbs107.htm - accessed on 20.11.2009. 10. Bernstein, P.L. (1998). Against the Gods: The remarkable story of risk, Wiley. 11. Borge, D. (2001). The Book of Risk, Wiley. 12. Borodzicz E.P. (2005) Risk, crisis and security management, Wiley. 13. Bouchaud, J-P. & Potters, M. (2000) Theory of financial risks: from statistical physics to risk management, Cambridge university press. 14. Butler, C. (1999), Mastering value at risk: a step-by-step guide to understanding and applying VaR. Financial Times/Prentice Hall. 15. Chapman, C. & Ward, S. (2003) Project risk management: processes, techniques and insights, 2nd Edition, Wiley 16. Clark, E. & Marois, B. (1996) Managing risk in international business, Thomson. 17. COSO– Committee of Sponsoring Organizations of the Treadway Commission (2004) Enterprise Risk Management –Integrated Framework. COSO. 18. Crouhy, M; Galai, D. & Mark, R. (2006) The essentials of risk management, McGraw-Hill. 19. CSA–Canadian Standards Association (1997) CAN/CSA-Q850-97 – Risk Management: Guideline for Decision Makers, Reaffirmed 2002, CSA. 20. Dallas, M. (2006) Value & Risk management: a guide to best practice, Blackwell. 21. DeMarco T. & Lister T. (2003) Waltzing with Bears: Managing Risk on Software Projects, Dorset House Publishing. 22. Deuchars, R. (2004) The International Political Economy of Risk: Rationalism, Calculation and Power, Ashgate. 23. Doherty, N. (2000) Integrated risk management: Techniques and strategies for reducing risk, McGraw-Hill. 24. Drennan, L. & McConnell A. (2007) Risk and crisis management in the public sector, Routledge. 25. Ericson, R. V. & Haggerty, K.D. (1997) Policing the risk society, Oxford University Press. 26. FERMA–Federation of European Risk Management Associations (2003) A risk management standard, FERMA. Available online at http://www.ferma.eu/AboutFERMA/ARiskManagementStandard/tabid/195/Default.aspx - accessed on 20.11.2009. 27. Fone M. & Young, P.C. (2005) Managing risks in public organisations, Perpetuity Press 28. French, S. (1988). Decision Theory: An introduction to the mathematics of rationality, Reprint 1993, Ellis Horwood. 29. Heath, R. (1998) Crisis management for managers and executives, Financial Times/Pitman. 30. ISO–International Organization for Standardization (2009) Risk management – Principles and guidelines, ISO. 31. Kendrick, T. (2009) Identifying and managing project risk: essential tools for failure-proofing your project, Amacom. 32. Kloman, F. (1999). Milestones: 1900 to 1999, Risk Management Reports, December, Volume 26, No. 12. Available online: http://www.riskinfo.com/rmr/rmrdec99.htm - accessed on 20.11.2009 33. Knight, R.F. & Pretty, (2000) Brand risk management in a value context, Templeton College. 34. Koutsoukis, N-S; Mitra, G. (2003) Decision modelling and information systems: the information value chain, Kluwer Academic Publishers. 35. Lam, J. (2003). Enterprise Risk Management: From incentives to controls, Wiley. 36. Lientz, B.P. & Larssen, L. (2006) Risk management for IT projects, Butterworth-Heinemann (Elsevier). 37. Merna T. & Al-Thani F.F. (2008) Corporate Risk Management, 2nd Edition, Wiley. 38. Morgan, M.G. & Henrion M. (1990) Uncertainty: A guide to dealing with uncertainty in Risk and Policy Analysis, 8th printing 2006, Cambridge University Press. 39. NHSLA–National Healthcare Service Litigation Authority (2009) Framework Document, NHSLA. Available online at http://www.nhsla.com/RiskManagement/ - accessed on 20.11.2009. 40. PMI–Project Management Institute (2009), Practice Standard for project risk management, Project Management Institute (PMI). 41. Ratherford Silvers, J. (2008) Risk management for meetings and events, Butterworth-Heinemann (Elsevier) 42. Saner, M. (2005) Information Brief on International Risk Management Standards, Institute on Governance (IOG). Available online at http://www.iog.ca/publications/2005_intl_risk_mgt_standards.pdf - accessed on 20.11.2009. 43. Shapiro, S.A. & Glickson, R.L. (2004) Risk Regulation at Risk: Restoring a Pragmatic Approach, Stanford University Press. 44. Smith, N.J.; Merna, T. & Jobling, P. (2006) Managing risk in construction projects, 2nd ed., Blackwell. 45. Sparrow, M.K. (2000) The regulatory craft: controlling risks, solving problems, and managing compliance, The Brookings Institution 46. Woodman, G. R. & Klippel D. (Eds) (2009) Risk and the law, Routledge. |
URI: | https://mpra.ub.uni-muenchen.de/id/eprint/61031 |