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9781119700159

Empowered Enterprise Risk Management Theory and Practice

by ;
  • ISBN13:

    9781119700159

  • ISBN10:

    1119700159

  • Edition: 1st
  • Format: Hardcover
  • Copyright: 2021-03-15
  • Publisher: Wiley
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Summary

In this book, two experts on the topic raise the question of why many ERM programmes end up as box-checking silos with almost no connection to important decision-making processes, whereas others are empowered and end up having a profound impact on the firm’s culture, governance structures, and strategy process. The book establishes a path to empowered ERM by drawing on insights from theory and hard-won lessons from practice. Success factors enabling this transition are thoroughly discussed in a start-to-finish narrative describing the theoretical underpinnings of ERM, its proven best practices, and onto more advanced topic such as risk budgeting and the integration of ERM into strategic decision-making.

Author Biography

Håkan Jankensgård is Associate Professor in Corporate Finance at Lund University where he teaches two courses (Corporate Valuation and Corporate Risk Management) on the master's program in Finance. Prior to entering academia, Håkan was corporate risk manager at Norsk Hydro with responsibility for developing their risk management program and risk model. He has published research on risk management in distinguished journals such as the Journal of Banking & Finance and Financial Management.

Petter Kapstad was responsible for building up Equinor's Enterprise Risk Management, which he headed for 14 years. At that time, Equinor's ERM included insurance, credit, operational risk, strategic risks and market risks. He had 18 years' experience from the trading environment in commercial banks prior to joining Equinor and has been an advisor to several international companies, boards and board members in building their ERM.

Table of Contents

Preface

Chapter 1: Introduction to Empowered Enterprise Risk Management

Chapter 2: Risk defined

Chapter 3: Risk theory

Chapter 4: Risk culture

Chapter 5: Risk governance

Chapter 6: Risk register

Chapter 7: Risk response

Chapter 8: Risk appetite

Chapter 9: Risk budgeting

Chapter 10: Risk strategy

Chapter 11: Risk in practice: The case of Equinor

Chapter 12: Concluding remarks

References

Acknowledgments

Index

Supplemental Materials

What is included with this book?

The New copy of this book will include any supplemental materials advertised. Please check the title of the book to determine if it should include any access cards, study guides, lab manuals, CDs, etc.

The Used, Rental and eBook copies of this book are not guaranteed to include any supplemental materials. Typically, only the book itself is included. This is true even if the title states it includes any access cards, study guides, lab manuals, CDs, etc.

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