Multiple Perspectives in Risk and Risk Management: Errn 8th European Risk Conference 2018, Katowice, Poland, September 20-21
暫譯: 風險與風險管理的多重視角:第八屆歐洲風險會議 2018,波蘭卡托維茨,9月20-21日

Linsley, Philip, Shrives, Philip, Wieczorek-Kosmala, Monika

  • 出版商: Springer
  • 出版日期: 2019-04-17
  • 售價: $6,780
  • 貴賓價: 9.5$6,441
  • 語言: 英文
  • 頁數: 313
  • 裝訂: Hardcover - also called cloth, retail trade, or trade
  • ISBN: 3030160440
  • ISBN-13: 9783030160449
  • 海外代購書籍(需單獨結帳)

商品描述

This proceedings book presents a multidisciplinary perspective on risk and risk management. Featuring selected papers presented at the European Risk Research Network (ERRN) 8th European Risk Conference "Multiple Perspectives in Risk and Risk Management" held in Katowice, Poland, it explores topics such as risk management systems, risk behaviors, risk culture, big data and risk reporting and regulation. The contributors adopt a wide variety of theoretical approaches and either qualitative or quantitative methodologies.

Contemporary companies operate in a highly dynamic environment, accompanied by the constant development of the information technology, making decision-making processes highly complex and increasing the risk related to company performance. The European Risk Research Network (ERRN) was established in 2006 with the aim of stimulating cross-disciplinary research in the area of risk management. The network includes academics and industry experts from the fields of accounting, auditing, financial economics and mathematical finance. To keep the network lively and fruitful, regular "European Risk Conferences" are organized to present papers from a broad spectrum of risk and risk management areas.

Featuring contributions for Italy, South Africa, Germany and Poland, this proceedings book is a valuable reference resource for students, academics, and practitioners in risk and risk management

商品描述(中文翻譯)

本會議論文集提供了風險與風險管理的多學科視角。該論文集收錄了在波蘭卡托維茨舉行的第八屆歐洲風險會議「風險與風險管理的多重視角」上所發表的選定論文,探討了風險管理系統、風險行為、風險文化、大數據以及風險報告和監管等主題。貢獻者採用了多種理論方法,並使用定性或定量的方法論。

當代企業在高度動態的環境中運作,伴隨著信息技術的持續發展,使得決策過程變得極為複雜,並增加了與公司績效相關的風險。歐洲風險研究網絡(ERRN)成立於2006年,旨在促進風險管理領域的跨學科研究。該網絡包括來自會計、審計、金融經濟學和數學金融等領域的學術界和行業專家。為了保持網絡的活力和成果,定期舉辦「歐洲風險會議」,以展示來自風險與風險管理各個領域的論文。

本會議論文集收錄了來自意大利、南非、德國和波蘭的貢獻,是風險與風險管理領域的學生、學者和實務工作者的重要參考資源。

作者簡介

Philip Linsley is Professor of Accounting and Risk at the York Management School, University of York, UK. His research interests are risk-related and include investigating risk disclosure, and risk and culture. He is particularly interested in applying the ideas of Mary Douglas to accounting. Philip is also a qualified chartered accountant and has significant experience as an academic lecturer and researcher.

Philip Shrives is a Professor of Accounting and Corporate Governance at Northumbria University. He is a Chartered Accountant, a Fellow of the UK Higher Education Academy and has a PhD from University College Dublin. He lectures in risk reporting, corporate governance, impression management and research methods. He has published a range of papers in journals such as The British Accounting Review, Accounting, Auditing & Accountability Journal, Critical Perspectives on Accounting, The International Journal of Accounting and the Journal of Accounting Literature. He was previously Director of Academic Staff Development.

Monika Wieczorek-Kosmala is an academic lecturer and researcher at the University of Economics in Katowice, Poland. Her research interests include corporate finance, insurance and enterprise risk management. She is particularly focused on the value-creation benefits of ERM implementation, as well as the relationship between ERM and company's capital structure optimization. She gained practical experience on insurance market as an insurance broker.

作者簡介(中文翻譯)

菲利普·林斯利是英國約克大學約克管理學院的會計與風險教授。他的研究興趣與風險相關,包括調查風險揭露、風險與文化。他特別有興趣將瑪麗·道格拉斯的思想應用於會計領域。菲利普也是一名合格的特許會計師,並在學術講師和研究者方面擁有豐富的經驗。

菲利普·施萊夫斯是諾森比亞大學的會計與公司治理教授。他是一名特許會計師,英國高等教育學院的院士,並擁有都柏林大學學院的博士學位。他教授風險報告、公司治理、印象管理和研究方法。他在《英國會計評論》、《會計、審計與問責期刊》、《會計的批判性視角》、《國際會計期刊》和《會計文獻期刊》等期刊上發表了多篇論文。他曾擔任學術人員發展主任。

莫妮卡·維耶佐雷克-科斯馬拉是波蘭卡托維茨經濟大學的學術講師和研究者。她的研究興趣包括企業財務、保險和企業風險管理。她特別專注於企業風險管理(ERM)實施的價值創造效益,以及ERM與公司資本結構優化之間的關係。她在保險市場作為保險經紀人獲得了實務經驗。

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