Risk Management Maturity

Crises like the COVID-19 pandemic are wake-up calls for enterprises to review their current risk management models. This book suggests a more robust risk management maturity model and illustrates the application in crisis situations. The book surveys existing risk management maturity models and p...

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主要な著者: Bąk, Sylwia, Jedynak, Piotr
フォーマット: Online
言語:英語
出版事項: Taylor & Francis 2022
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オンライン・アクセス:https://library.oapen.org/handle/20.500.12657/58518
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author Bąk, Sylwia
Jedynak, Piotr
author_browse Bąk, Sylwia
Jedynak, Piotr
author_facet Bąk, Sylwia
Jedynak, Piotr
author_sort Bąk, Sylwia
collection Directory of Open Access Books
description Crises like the COVID-19 pandemic are wake-up calls for enterprises to review their current risk management models. This book suggests a more robust risk management maturity model and illustrates the application in crisis situations. The book surveys existing risk management maturity models and proposes a new model appropriate for assessing the risk management processes in enterprises during times of crisis. Its key advantages include the correlation of its attributes with crisis situations and an innovative methodological approach to model development. The authors use the model to examine 107 enterprises from the financial services, construction and IT sector, showing how it allows the user to identify risk management maturity changes in the aftermath of the COVID-19 pandemic. The book will interest entrepreneurs, managers and risk management professionals, who can use the model in their management processes, as well as enterprise stakeholders and academics.
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spelling doab-20.500.12854ir-925302025-08-13T13:42:39Z Risk Management Maturity Bąk, Sylwia Jedynak, Piotr complexity;holistic risk management;risk analysis;risk systems thema EDItEUR::K Economics, Finance, Business and Management::KF Finance and accounting::KFF Finance and the finance industry::KFFN Insurance and actuarial studies thema EDItEUR::K Economics, Finance, Business and Management::KF Finance and accounting::KFF Finance and the finance industry::KFFN Insurance and actuarial studies Crises like the COVID-19 pandemic are wake-up calls for enterprises to review their current risk management models. This book suggests a more robust risk management maturity model and illustrates the application in crisis situations. The book surveys existing risk management maturity models and proposes a new model appropriate for assessing the risk management processes in enterprises during times of crisis. Its key advantages include the correlation of its attributes with crisis situations and an innovative methodological approach to model development. The authors use the model to examine 107 enterprises from the financial services, construction and IT sector, showing how it allows the user to identify risk management maturity changes in the aftermath of the COVID-19 pandemic. The book will interest entrepreneurs, managers and risk management professionals, who can use the model in their management processes, as well as enterprise stakeholders and academics. 2022-09-24T04:02:42Z 2022-09-24T04:02:42Z 2022-09-23T15:13:20Z 2023 book https://library.oapen.org/handle/20.500.12657/58518 9781032362380 9781032362366 https://directory.doabooks.org/handle/20.500.12854/92530 eng Routledge Focus on Business and Management open access image/jpeg image/jpeg image/jpeg Attribution-NonCommercial-NoDerivatives 4.0 International Attribution-NonCommercial-NoDerivatives 4.0 International Attribution-NonCommercial-NoDerivatives 4.0 International https://library.oapen.org/bitstream/20.500.12657/58518/1/9781000818666.pdf https://library.oapen.org/bitstream/20.500.12657/58518/1/9781000818666.pdf https://library.oapen.org/bitstream/20.500.12657/58518/1/9781000818666.pdf Taylor & Francis Routledge 10.4324/9781003330905 10.4324/9781003330905 fa69b019-f4ee-4979-8d42-c6b6c476b5f0 9781032362380 9781032362366 Routledge 112 open access
spellingShingle complexity;holistic risk management;risk analysis;risk systems
thema EDItEUR::K Economics, Finance, Business and Management::KF Finance and accounting::KFF Finance and the finance industry::KFFN Insurance and actuarial studies
thema EDItEUR::K Economics, Finance, Business and Management::KF Finance and accounting::KFF Finance and the finance industry::KFFN Insurance and actuarial studies
Bąk, Sylwia
Jedynak, Piotr
Risk Management Maturity
title Risk Management Maturity
title_full Risk Management Maturity
title_fullStr Risk Management Maturity
title_full_unstemmed Risk Management Maturity
title_short Risk Management Maturity
title_sort risk management maturity
topic complexity;holistic risk management;risk analysis;risk systems
thema EDItEUR::K Economics, Finance, Business and Management::KF Finance and accounting::KFF Finance and the finance industry::KFFN Insurance and actuarial studies
thema EDItEUR::K Economics, Finance, Business and Management::KF Finance and accounting::KFF Finance and the finance industry::KFFN Insurance and actuarial studies
topic_facet complexity;holistic risk management;risk analysis;risk systems
thema EDItEUR::K Economics, Finance, Business and Management::KF Finance and accounting::KFF Finance and the finance industry::KFFN Insurance and actuarial studies
thema EDItEUR::K Economics, Finance, Business and Management::KF Finance and accounting::KFF Finance and the finance industry::KFFN Insurance and actuarial studies
url https://library.oapen.org/handle/20.500.12657/58518
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