Aba-Bulgu / Islam | Corporate Crisis and Risk Management | Buch | 978-0-08-045102-2 | sack.de

Buch, Englisch, Band 21, 382 Seiten, Format (B × H): 157 mm x 235 mm, Gewicht: 708 g

Reihe: International Business and Management

Aba-Bulgu / Islam

Corporate Crisis and Risk Management


Erscheinungsjahr 2006
ISBN: 978-0-08-045102-2
Verlag: Elsevier Science Ltd

Buch, Englisch, Band 21, 382 Seiten, Format (B × H): 157 mm x 235 mm, Gewicht: 708 g

Reihe: International Business and Management

ISBN: 978-0-08-045102-2
Verlag: Elsevier Science Ltd


This book presents the theoretical background to risk and corporate crisis management and offers useful methods and techniques applicable to small and medium sized enterprises in the event of disastrous situations such as fire, flood, storm, etc. Unlike the vast majority of literature available in this field, this book:

concentrates on small and medium business organisations;

presents a comprehensive approach to crisis management involving all aspects of business operations;

adopts a systems approach at an organisational and crisis management levels;

approaches disaster recovery by identifying targets, instruments and policies during various phases of the crisis management process; and

employs commonly available software programs.

- This series: Provides an international perspective to the study of business, with a special emphasis on management and marketing issues

- Deals with such topics as globalization, international business negotiations, cross-cultural communication, entry strategies, doing business in different regions, and future trends

- Also focuses on the development of international business theory, methodological issues, the results of empirical studies and the findings of practitioners

Aba-Bulgu / Islam Corporate Crisis and Risk Management jetzt bestellen!

Weitere Infos & Material


1. Introduction

2. Planning for Crisis Management: A New Approach

3. The Elements of the New Approach

4. Research Methodology

5. Case Studies

6. Optimisation of Cash Flows

7. Optimal Post-Loss Investment Decisions

8. Strategic Crisis Management Issues

9. Summary and Conclusions


Dr. Sardar M N Islam is Director, Sustainable Growth Program, Centre for Strategic Economic Studies, Victoria University, Australia. He is also associated with the Financial Modelling Program and the Law and Economics Program there. He has published 11 books and research monographs and more than 150 technical papers in Finance, Economics, Corporate Governance, and E-Commerce.



Ihre Fragen, Wünsche oder Anmerkungen
Vorname*
Nachname*
Ihre E-Mail-Adresse*
Kundennr.
Ihre Nachricht*
Lediglich mit * gekennzeichnete Felder sind Pflichtfelder.
Wenn Sie die im Kontaktformular eingegebenen Daten durch Klick auf den nachfolgenden Button übersenden, erklären Sie sich damit einverstanden, dass wir Ihr Angaben für die Beantwortung Ihrer Anfrage verwenden. Selbstverständlich werden Ihre Daten vertraulich behandelt und nicht an Dritte weitergegeben. Sie können der Verwendung Ihrer Daten jederzeit widersprechen. Das Datenhandling bei Sack Fachmedien erklären wir Ihnen in unserer Datenschutzerklärung.