The Failure of Risk Management: Why It's Broken and How to Fix It
暫譯: 風險管理的失敗:為什麼它失效以及如何修復它
Hubbard, Douglas W.
- 出版商: Wiley
- 出版日期: 2020-03-04
- 售價: $1,980
- 貴賓價: 9.5 折 $1,881
- 語言: 英文
- 頁數: 336
- 裝訂: Hardcover - also called cloth, retail trade, or trade
- ISBN: 111952203X
- ISBN-13: 9781119522034
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商品描述
A practical guide to adopting an accurate risk analysis methodology
The Failure of Risk Management provides effective solutionstosignificantfaults in current risk analysis methods. Conventional approaches to managing risk lack accurate quantitative analysis methods, yielding strategies that can actually make things worse. Many widely used methods have no systems to measure performance, resulting in inaccurate selection and ineffective application of risk management strategies. These fundamental flaws propagate unrealistic perceptions of risk in business, government, and the general public. This book provides expert examination of essential areas of risk management, including risk assessment and evaluation methods, risk mitigation strategies, common errors in quantitative models, and more. Guidance on topics such as probability modelling and empirical inputs emphasizes the efficacy of appropriate risk methodology in practical applications.
Recognized as a leader in the field of risk management, author Douglas W. Hubbard combines science-based analysis with real-world examples to present a detailed investigation of risk management practices. This revised and updated second edition includes updated data sets and checklists, expanded coverage of innovative statistical methods, and new cases of current risk management issues such as data breaches and natural disasters.
- Identify deficiencies in your current risk management strategy and take appropriate corrective measures
- Adopt a calibrated approach to risk analysis using up-to-date statistical tools
- Employ accurate quantitative risk analysis and modelling methods
- Keep pace with new developments in the rapidly expanding risk analysis industry
Risk analysis is a vital component of government policy, public safety, banking and finance, and many other public and private institutions. The Failure of Risk Management: Why It's Broken and How to Fix It is a valuable resource for business leaders, policy makers, managers, consultants, and practitioners across industries.
商品描述(中文翻譯)
採用準確風險分析方法的實用指南
風險管理的失敗 提供了有效的解決方案,以應對當前風險分析方法中的重大缺陷。傳統的風險管理方法缺乏準確的定量分析方法,導致的策略實際上可能使情況變得更糟。許多廣泛使用的方法沒有衡量績效的系統,結果導致風險管理策略的選擇不準確且應用無效。這些根本缺陷在商業、政府和公眾中傳播了不切實際的風險認知。本書對風險管理的基本領域進行了專家級的檢視,包括風險評估和評價方法、風險緩解策略、定量模型中的常見錯誤等。關於概率建模和實證輸入等主題的指導強調了在實際應用中適當風險方法論的有效性。
作為風險管理領域的領導者,作者道格拉斯·W·哈伯德(Douglas W. Hubbard)將基於科學的分析與現實世界的例子相結合,對風險管理實踐進行詳細調查。本書的修訂版和更新版第二版包括更新的數據集和檢查清單、擴展的創新統計方法的覆蓋範圍,以及有關當前風險管理問題的新案例,例如數據洩露和自然災害。
- 識別您當前風險管理策略中的缺陷並採取適當的糾正措施
- 採用經過校準的風險分析方法,使用最新的統計工具
- 採用準確的定量風險分析和建模方法
- 跟上快速擴展的風險分析行業中的新發展
風險分析是政府政策、公共安全、銀行和金融以及許多其他公共和私人機構的重要組成部分。風險管理的失敗:為什麼它壞了以及如何修復它 是商業領導者、政策制定者、經理、顧問和各行各業從業者的寶貴資源。
作者簡介
DOUGLAS W. HUBBARD is the inventor of Applied Information Economics (AIE). His methodology has earned him critical praise from Gartner and Forrester Research. He is also the author of How to Measure Anything: Finding the Value of Intangibles in Business and How to Measure Anything in Cybersecurity Risk. His articles appear in Nature, The American Statistician, The IBM Journal of R&D, InformationWeek and many more. He has over 30 years of experience in management consulting focusing on the application of quantitative methods in decision making
作者簡介(中文翻譯)
道格拉斯·W·哈伯德是應用資訊經濟學(Applied Information Economics, AIE)的發明人。他的方法論獲得了Gartner和Forrester Research的高度評價。他也是《如何衡量任何事物:在商業中尋找無形資產的價值》(How to Measure Anything: Finding the Value of Intangibles in Business)和《如何衡量任何事物在網絡安全風險中的應用》(How to Measure Anything in Cybersecurity Risk)的作者。他的文章發表在《自然》(Nature)、《美國統計學家》(The American Statistician)、《IBM研發期刊》(The IBM Journal of R&D)、《InformationWeek》等多個刊物上。他在管理諮詢領域擁有超過30年的經驗,專注於定量方法在決策中的應用。