Pandemic Risk Management in Operations and Finance

Pandemic Risk Management in Operations and Finance
Author: Desheng Dash Wu,David L. Olson
Publsiher: Springer Nature
Total Pages: 144
Release: 2020-07-27
Genre: Business & Economics
ISBN: 9783030521974

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COVID-19 has spread around the world, causing tremendous structural change, and severely affecting global supply chains and financial operations. As such there is a need for analytic tools help deal with the impact of the pandemic on the world’s economies; these tools are not panaceas and certainly won’t cure the problems faced, but they offer a means to aid governments, firms, and individuals in coping with specific problems. This book provides an overview of the COVID-19 pandemic and evaluates its effect on financial and supply chain operations. It then discusses epidemic modeling, presenting sources of quantitative and text data, and describing how models are used to illustrate the pandemic impact on supply chains, macroeconomic performance on financial operations. It highlights the specific experiences of the banking system, which offers predictions of the impact on the Swedish banking sector. Further, it examines models related to pandemic planning, such as evaluation of financial contagion, debt risk analysis, and health system efficiency performance, and addresses specific models of pandemic parameters. The book demonstrates various tools using available data on the ongoing COVID-19 pandemic. While it includes some citations, it focuses on describing the methods and explaining how they work, rather than on theory. The data sets and software presented were all selected on the basis of their widespread availability to any reader with computer links.

Risk Management in Crisis

Risk Management in Crisis
Author: Piotr Jedynak,Sylwia Bąk
Publsiher: Routledge
Total Pages: 252
Release: 2021-08-19
Genre: Business & Economics
ISBN: 9781000457261

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Risk management is a domain of management which comes to the fore in crisis. This book looks at risk management under crisis conditions in the COVID-19 pandemic context. The book synthesizes existing concepts, strategies, approaches and methods of risk management and provides the results of empirical research on risk and risk management during the COVID-19 pandemic. The research outcome was based on the authors’ study on 42 enterprises of different sizes in various sectors, and these firms have either been negatively affected by COVID-19 or have thrived successfully under the new conditions of conducting business activities. The analysis looks at both the impact of the COVID-19 pandemic on the selected enterprises and the risk management measures these enterprises had taken in response to the emerging global trends. The book puts together key factors which could have determined the enterprises’ failures and successes. The final part of the book reflects on how firms can build resilience in challenging times and suggests a model for business resilience. The comparative analysis will provide useful insights into key strategic approaches of risk management. The Open Access version of this book, available at http://www.taylorfrancis.com/books/oa-mono/10.4324/9781003131366/ has been made available under a Creative Commons Attribution-Non Commercial-No Derivatives 4.0 license.

Corporate Risk Management After the COVID 19 Crisis

Corporate Risk Management After the COVID 19 Crisis
Author: Monomita Nandy,Suman Lodh
Publsiher: Wspc (Europe)
Total Pages: 0
Release: 2023
Genre: COVID-19 Pandemic, 2020-
ISBN: 1800614225

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"The coronavirus crisis and related business failure are widely discussed in recent times. The unique nature of the COVID-19 crisis has raised several concerns about the risk management models adopted by many businesses. It is difficult for companies to understand which factors to consider in their business model to adeptly deal with the new risks associated with COVID-19. Few businesses managed to continue their operation, especially if their existing risk management strategies were broader before the crisis. The financial crisis created by coronavirus pandemic highlights the importance of further research in risk management, which will allow businesses to identify a feasible model to handle various risks in the ongoing crisis recovery period. Existing academic studies present discussions around a need for revised risk management models, importance of Artificial Intelligence, or other advanced technologies in risk management. It is therefore vital to conduct a detailed study to understand how the risk management strategies of the businesses should be revised following the COVID-19 crisis, to adapt to the changes brought about by the pandemic. This textbook is essential reading for students studying risk management, researchers examining the relation between advanced technology and risk management mitigation strategies, businesses working on their strategies around managing risk, and policy makers looking for necessary policy changes that support businesses"--

Organizational Management and the COVID 19 Crisis

Organizational Management and the COVID 19 Crisis
Author: Wioletta Sylwia Wereda,Jacek Woźniak,Justyna Stochaj
Publsiher: Taylor & Francis
Total Pages: 174
Release: 2022-12-30
Genre: Business & Economics
ISBN: 9781000583199

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The COVID-19 pandemic has re-shaped organizations on many levels: resource, process, structural and relational. Such a wide range of forced changes has resulted in a greater need to implement risk management principles and procedures to secure an organization's position in the market. This book presents selected and key aspects of managing contemporary organizations in the conditions of the COVID-19 pandemic, enriched with empirical analyses relating to various countries of the world. This edited collected focuses on clarifying and solving basic management dilemmas, integrated issues of risk management and organization security in light of changes during the COVID-19 pandemic. It specifically explores the following common problem areas, across industries and sectors, using theoretical, empirical and practical perspectives: financial, economic and regulatory conditions for management processes in the conditions of the COVID-19 pandemic; management of information resources and security in the conditions of the development of the phenomenon of digital risk and e-commerce; shaping relationships with stakeholders, with particular emphasis on relationships with customers in the conditions of sales processes; shaping the processes of creating and diffusing knowledge, with particular emphasis on the activities of educational entities. Organizational Management and the COVID-19 Crisis will be directly relevant for researchers and academics across a range of management disciplines, including strategic management, risk management, organizational studies, information and knowledge management and related fields.

Managing Pandemic Related Risks

Managing Pandemic Related Risks
Author: Marc H Siegel
Publsiher: Unknown
Total Pages: 42
Release: 2020-04-05
Genre: Electronic Book
ISBN: 9798634370163

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This short book focuses on the risk management and continuity concepts critical to the planning and management of operational risks associated with a pandemic. In addition, the book highlights the many unique challenges in planning for and managing (mitigating or reducing) the impact of a pandemic. All organizations are unique and operate in specific or distinctive risk environments. The book examines the thought processes underlying effective development of strategies and tactics addressing an organization's objectives and risk environment. The information in this book can be used by organizations who are beginning the process to manage pandemic related risks, as well as by organizations who have existing risk and business continuity plans that require updating to address the pandemic conditions. The approach is designed to be compatible with accepted practices for managing risk in organizations and their supply chains.

Shifting Economic Financial and Banking Paradigm

Shifting Economic  Financial and Banking Paradigm
Author: Samsul Ariffin Abdul Karim
Publsiher: Springer Nature
Total Pages: 159
Release: 2021-08-13
Genre: Computers
ISBN: 9783030796105

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This book presents the main ideas on shifting the economy, finance, and banking sectors among ASEAN countries into a new paradigm. Since the economy and finance, as well as the banking sector in the ASEAN region, have been growing years by years, there is the need for the policymakers and relevant agencies to study the ideas on shifting the ASEAN economy, finance, and banking towards globalization through a new paradigm. Furthermore, the recent COVID-19 pandemic has affected not just human lives but also the economic and financial sectors. Because of COVID-19, most countries around the world have imposed lockdown and moving control order (MCO) as well as conditionally moving control order (CMCO). In this book, we tackle the main ideas on shifting the economy, finance, and banking sectors among ASEAN countries into a new paradigm. The researchers used econometric, mathematics, statistics, and quantitative sciences to study many economic, finance, and banking issues such as cryptocurrency, consumer preferences, and good governance. This book presents various new and novel results, methods, and algorithms. The findings of this book shall benefit the ASEAN policymakers, investors, and other relevant agencies. This book is also suitable for postgraduate students, researchers, and other scientists who work in econometric, finance, banking, and numerical simulation.

Preparing For Pandemics Lessons From The Global Financial Crisis And Covid 19

Preparing For Pandemics  Lessons From The Global Financial Crisis And Covid 19
Author: David Longworth,Frank Milne
Publsiher: World Scientific
Total Pages: 196
Release: 2022-06-08
Genre: Political Science
ISBN: 9789811255946

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In far too many cases, recommendations of forensic reports on previous pandemics were ignored. Substantial weaknesses in the preparation by public health authorities and governments increased the health and economic costs of the COVID-19 pandemic relative to what they would have been if pre-existing recommendations had been followed and a wider set of plans had been put into place. We discuss parallels between the lack of preparation of financial system regulators prior to the global financial crisis and the lack of preparation by public health authorities and governments prior to COVID-19. These parallels relate to: required stocks (of capital or equipment), data collection and sharing, lending facilities, stress testing and war games, early warning indicators and systems, contagion from abroad, operational risks, a system-wide approach (including effects on the real economy), models incorporating the heterogeneity of individuals, and effects on less-regulated parts of the system. The recent COVID-19 crisis has demonstrated that, apart from the direct economic consequences from illness and death from the virus, the main costs have been due to the varying degrees of preventative measures taken by the public, firms, and governments that directly impacted health, as well as social, economic, and financial activity. We make recommendations for carrying out post mortems on the COVID-19 experience, planning for future pandemics, and establishing transparent and accountable governance systems. We then propose the use of regular, combined health, economic, and financial stress tests and exercises/war games in preparing for future pandemics and other major environmental shocks.

Finance Analytics in Business

Finance Analytics in Business
Author: Sanjay Taneja,Pawan Kumar,Kiran Sood,Ercan Özen,Simon Grima
Publsiher: Emerald Group Publishing
Total Pages: 361
Release: 2024-06-17
Genre: Business & Economics
ISBN: 9781837535729

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Finance Analytics in Business brings together specialists around the world working in various disciplines to reflect on finance analytics in business. This crucial field gives different views of a company’s financial data, and helps it gain knowledge to take action to improve financial performance.