Risk Management Compendium, Volume 1: A Multidisciplinary Approach to Public Sector

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Bol Risk Management Compendium, Volume 1 provides a comprehensive exploration of risk management in public administration and the economy, addressing a field in which universally accepted standards and scientific frameworks are still evolving. The book examines key concepts, methodologies, and practical approaches to identifying, assessing, and managing risks in complex economic and administrative environments.Bridging an important gap in knowledge, this volume offers insights into the opportunities and challenges of risk management at both organizational and systemic levels. Through a rich collection of case studies and real-world examples, it illustrates how risks emerge, develop, and influence decision-making processes across the public and private sectors.Combining theoretical analysis with practical application, the book highlights current trends in risk management from both microeconomic and macroeconomic perspectives. It serves as a valuable resource for researchers, policymakers, public administrators, economists, students, and professionals seeking to better understand the dynamics of risk and the strategies required to build resilience in an increasingly uncertain world.

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Risk Management Compendium, Volume 1 provides a comprehensive exploration of risk management in public administration and the economy, addressing a field in which universally accepted standards and scientific frameworks are still evolving. The book examines key concepts, methodologies, and practical approaches to identifying, assessing, and managing risks in complex economic and administrative environments.Bridging an important gap in knowledge, this volume offers insights into the opportunities and challenges of risk management at both organizational and systemic levels. Through a rich collection of case studies and real-world examples, it illustrates how risks emerge, develop, and influence decision-making processes across the public and private sectors.Combining theoretical analysis with practical application, the book highlights current trends in risk management from both microeconomic and macroeconomic perspectives. It serves as a valuable resource for researchers, policymakers, public administrators, economists, students, and professionals seeking to better understand the dynamics of risk and the strategies required to build resilience in an increasingly uncertain world.


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Merk LAP LAMBERT Academic Publishing
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  • 9786630097009
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