CITESTE MAI MULT
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An essential guide to the calibrated risk analysis approach
The Failure of Risk Management
takes a close look at misused and misapplied basic analysis methods and shows how some of the most popular "risk management" methods are no better than astrology! Using examples from the 2008 credit crisis, natural disasters, outsourcing to China, engineering disasters, and more, Hubbard reveals critical flaws in risk management methods-and shows how all of these problems can be fixed. The solutions involve combinations of scientifically proven and frequently used methods from nuclear power, exploratory oil, and other areas of business and government. Finally, Hubbard explains how new forms of collaboration across all industries and government can improve risk management in every field.
Douglas W. Hubbard (Glen Ellyn, IL) is the inventor of Applied Information Economics (AIE) and the author of Wiley's How to Measure Anything: Finding the Value of Intangibles in Business (978-0-470-11012-6), the #1 bestseller in business math on Amazon. He has applied innovative risk assessment and risk management methods in government and corporations since 1994.
"Doug Hubbard, a recognized expert among experts in the field of risk management, covers the entire spectrum of risk management in this invaluable guide. There are specific value-added take aways in each chapter that are sure to enrich all readers including IT, business management, students, and academics alike"
--Peter Julian, former chief-information officer of the New York Metro Transit Authority. President of Alliance Group consulting
"In his trademark style, Doug asks the tough questions on risk management. A must-read not only for analysts, but also for the executive who is making critical business decisions."
--Jim Franklin, VP Enterprise Performance Management and General Manager, Crystal Ball Global Business Unit, Oracle Corporation.
EdituraJohn Wiley & Sons Inc
Dimensiuni238 x 162 x 26
Data Publicarii14/04/2009
Format
Cartonata
Numar pagini304
Aceasta este o carte in limba engleza. Descrierea cartii (tradusa din engleza cu Google Translate) este in limba romana din motive legale.
Un ghid esential pentru abordarea calibrata a analizei riscurilor Esecul gestionarii riscurilor analizeaza indeaproape metodele de analiza de baza utilizate gresit si aplicate gresit si arata cum unele dintre cele mai populare metode de „gestionare a riscurilor” nu sunt mai bune decat astrologia! Folosind exemple din criza creditului din 2008, dezastrele naturale, externalizarea catre China, dezastrele ingineresti si multe altele, Hubbard dezvaluie defecte critice in metodele de gestionare a riscurilor si arata cum pot fi rezolvate toate aceste probleme.