Corporate Risk Management for International Business

Corporate Risk Management for International Business

EnglishHardbackPrint on demand
Kucuk Yilmaz, Ayse
Springer Verlag, Singapore
EAN: 9789811042645
Print on demand
Delivery on Friday, 3. of January 2025
CZK 2,896
Common price CZK 3,218
Discount 10%
pc
Do you want this product today?
Oxford Bookshop Praha Korunní
not available
Librairie Francophone Praha Štěpánská
not available
Oxford Bookshop Ostrava
not available
Oxford Bookshop Olomouc
not available
Oxford Bookshop Plzeň
not available
Oxford Bookshop Brno
not available
Oxford Bookshop Hradec Králové
not available
Oxford Bookshop České Budějovice
not available
Oxford Bookshop Liberec
not available

Detailed information

This book presents research on how businesses can be empowered to manage their company’s risk exposure in international settings. It elaborates on approaches that advocate the minimizing of threats and sizing opportunities as the best strategy through which corporate objectives are maximized. With a focus on international business management, the book starts off with a review of literature and companies that are international in nature, before presenting several main chapters that highlight the different vital sides of both international business and risk management. Corporate Risk Management for International Business serves as a key source for managers and academic researchers in risk management and strategy to understand all related issues of managing risks and setting strategies in global way. The book also serves as a decision making guide for managers that are active in volatile and dynamic environments of international business.
EAN 9789811042645
ISBN 9811042640
Binding Hardback
Publisher Springer Verlag, Singapore
Publication date May 30, 2017
Pages 167
Language English
Dimensions 235 x 155
Country Singapore
Readership Professional & Scholarly
Authors Flouris, Triant; Kucuk Yilmaz, Ayse
Illustrations XXII, 167 p. 16 illus., 13 illus. in color.
Edition 1st ed. 2017
Series Accounting, Finance, Sustainability, Governance & Fraud: Theory and Application