Risk Management Perspectives In Corporate Governance After Global Economic Crisis (Part II) Risk Management Perspectives In Corporate Governance After Global Economic Crisis (Part II)

Risk Management Perspectives In Corporate Governance After Global Economic Crisis (Part II‪)‬

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Publisher Description

 After publishing Book Risk management - part I, we identify rooms for developing more contents on one of hot issues of corporate governance in most nations such as developed countries, developing countries including Vietnam. The book aims to provide top management team, board, business consultant, officer and relevant shareholders in both public and private companies, profit and non-profit firms, academic, social firms and businesses with updated knowledge of risk management system after financial crisis. With limited and solid contents and three (3) sessions, it also tries to support academic people, including but not limited to, professors and university students, esp. last year undergraduates, Master/MBA students or researchers, and administrative staff from low to upper-intermediate levels with risk management systems and practical matters through cases studies and comparative analysis. Additionally, it aims to put questions on the table of relevant organization and people who is responsible for making policies for a sound risk management process.

GENRE
Business & Personal Finance
RELEASED
2020
10 July
LANGUAGE
EN
English
LENGTH
386
Pages
PUBLISHER
CMD
SELLER
Ingram DV LLC
SIZE
25.8
MB
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