Foto 1 di 9









Galleria
Foto 1 di 9









Ne hai uno da vendere?
Strategic Risk Taking: A Framework for Risk Management (paperback)
US $24,00
CircaEUR 20,59
o Proposta d'acquisto
Condizione:
Accettabile
Libro con evidenti segni di usura. Può avere alcuni danni alla copertina, senza che l'integrità sia compromessa. La rilegatura può essere leggermente danneggiata, senza che l'integrità sia compromessa. Può avere scritte ai margini, sottolineature ed evidenziazioni di testo, ma nessuna pagina mancante né altri danni che potrebbero compromettere la leggibilità o la comprensibilità del testo. Per maggiori dettagli e la descrizione di eventuali imperfezioni, consulta l'inserzione del venditore.
Oops! Looks like we're having trouble connecting to our server.
Refresh your browser window to try again.
Spedizione:
Gratis USPS Media MailTM.
Oggetto che si trova a: Brazoria, Texas, Stati Uniti
Consegna:
Consegna prevista tra il mer 22 ott e il lun 27 ott a 94104
Restituzioni:
Restituzioni entro 30 giorni. Le spese di spedizione del reso sono a carico dell'acquirente..
Pagamenti:
Fai shopping in tutta sicurezza
Il venditore si assume la piena responsabilità della messa in vendita dell'oggetto.
Numero oggetto eBay:156623465360
Specifiche dell'oggetto
- Condizione
- Release Year
- 2007
- Book Title
- Strategic Risk Taking: A Framework for Risk Management (paperb...
- ISBN
- 9780137043774
Informazioni su questo prodotto
Product Identifiers
Publisher
Pearson Education
ISBN-10
0137043775
ISBN-13
9780137043774
eBay Product ID (ePID)
78705958
Product Key Features
Number of Pages
408 Pages
Publication Name
Strategic Risk Taking : a Framework for Risk Management
Language
English
Subject
Decision-Making & Problem Solving, Corporate Finance / General
Publication Year
2007
Type
Textbook
Subject Area
Business & Economics
Format
Trade Paperback
Dimensions
Item Height
1 in
Item Weight
24.7 Oz
Item Length
9 in
Item Width
7.2 in
Additional Product Features
Intended Audience
Scholarly & Professional
Dewey Edition
22
Dewey Decimal
658.15/5
Synopsis
In business and investing, risk has traditionally been viewed negatively: investors and companies can lose money due to risk and therefore we typically penalize companies for taking risks. That's why most books on risk management focus strictly on hedging or mitigating risk. But the enterprise's relationship with risk should be far more nuanced. Great companies become great because they seek out and exploit intelligent risks, not because they avoid all risk. Strategic Risk Taking: A Framework for Risk Management is the first book to take this broader view, encompassing both risk hedging at one end of the spectrum and strategic risk taking on the other. World-renowned financial pioneer Aswath Damodaran-one of BusinessWeek's top 12 business school professors-is singularly well positioned to take this strategic view. Here, Damodaran helps you separate good risk (opportunities) from bad risk (threats), showing how to utilize the former while protecting yourself against the latter. He introduces powerful financial tools for evaluating risk, and demonstrates how to draw on other disciplines to make these tools even more effective. Simply put, Damodaran has written the first book that helps you use risk to increase firm value, drive higher growth and returns, and create real competitive advantage., In business and investing, risk has traditionally been viewed negatively: investors and companies can lose money due to risk and therefore we typically penalize companies for taking risks. That s why most books on risk management focus strictly on hedging or mitigating risk. But the enterprise s relationship with risk should be far more nuanced. Great companies become great because they seek out and exploit intelligent risks, not because they avoid all risk. Strategic Risk Taking: A Framework for Risk Management is the first book to take this broader view, encompassing both risk hedging at one end of the spectrum and strategic risk taking on the other. World-renowned financial pioneer Aswath Damodaran one of BusinessWeek s top 12 business school professors is singularly well positioned to take this strategic view. Here, Damodaran helps you separate good risk (opportunities) from bad risk (threats), showing how to utilize the former while protecting yourself against the latter. He introduces powerful financial tools for evaluating risk, and demonstrates how to draw on other disciplines to make these tools even more effective. Simply put, Damodaran has written the first book that helps you use risk to increase firm value, drive higher growth and returns, and create real competitive advantage. "
LC Classification Number
HD61.D23 2010
Descrizione dell'oggetto fatta dal venditore
Informazioni su questo venditore
variation.station
100% di Feedback positivi•1,2 mila oggetti venduti
Registrato come venditore privatoPertanto non si applicano i diritti dei consumatori derivanti dalla normativa europea. La Garanzia cliente eBay è comunque applicabile alla maggior parte degli acquisti. Scopri di piùScopri di più
Feedback sul venditore (444)
- 1***0 (8)- Feedback lasciato dall'acquirente.Ultimi 6 mesiAcquisto verificatoMy order was processed and shipped quickly; it arrived undamaged in secure packaging (item was a DVD) and there were no issues with playback; I would purchase from this vendor again.Grand Pas in the White Night (DVD) Maurice Bejart, Kirov Ballet New And Sealed (N° 157168262487)
- c***a (3472)- Feedback lasciato dall'acquirente.Ultimi 6 mesiAcquisto verificatoFast shipping, perfect packaging, as described. Excellent seller
- d***d (2)- Feedback lasciato dall'acquirente.Ultimo annoAcquisto verificatoFantastic experience! The book arrived in perfect condition and even earlier than expected. Exactly as described, neatly packaged, great value for money. The seller communicated promptly and went above and beyond to ensure it would arrive on time. Highly recommend and will definitely be back!The Picture of Dorian Gray by Oscar Wilde, The Franklin Library 1988 Hardcover (N° 156630576746)