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Risk leveling in business environments - A novel approach for macro risk management

机译:业务环境中的风险均衡-宏观风险管理的新方法

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Purpose: The purpose of this study is to presents a structured risk management methodology for managing and controlling the risks in the macro business environments. This paper emphasizes to achieve risk settled environments for industry/ business growth. Design/methodology/approach: In this paper, we present an approach called ‘Risk Leveling’ which signifies both a concept and a methodology; it helps to manage risks in the macro business environments. Risk Leveling follows a multi-tier approach towards divergent risks and focuses on balancing the risky macro environs for better industry/ business settings. It recommends the utilization of the available resources in a systematic and efficient way for risk mitigation; such intent is pursued though a structured procedure which urges to reduce the risks to match them with the risk tolerance of the enterprises; it also attempts to diminish the mutual risk disparities giving rise a context in which no risk is seen too big or too small comparative to the others. The Risk Leveling process utilizes logical tools (e.g. AHP, ALARP etc.) and mechanisms to reach the risk settled environments. Findings: Risk Leveling procedure adopted in the study moves through the standard risk management course and tends to pacify the macro risks to achieve risk settled environments for the industry. It suggests exploiting the mitigation efforts in a balanced and efficient way to conserve the resources. Originality/value: The regimes can practice it to pacify and regulate the macro risk forces in the designated industry/ market segments.
机译:目的:本研究的目的是提出一种结构化的风险管理方法,用于管理和控制宏观业务环境中的风险。本文强调为行业/业务增长实现风险解决环境。设计/方法/方法:在本文中,我们提出了一种称为“风险均衡”的方法,它既表示概念,也表示方法。它有助于管理宏观业务环境中的风险。风险均衡遵循针对不同风险的多层方法,并着重于平衡有风险的宏观环境,以改善行业/业务环境。它建议以系统和有效的方式利用现有资源来减轻风险;这种意图是通过结构化的程序追求的,该程序敦促降低风险以使其符合企业的风险承受能力;它还试图减小相互风险差距,从而产生一种背景,在这种情况下,与其他风险相比,没有任何风险太大或太小。风险衡量流程利用逻辑工具(例如AHP,ALARP等)和机制来达到风险解决环境。结果:研究中采用的风险均衡程序贯穿了标准风险管理过程,并趋于平息宏观风险,从而为行业提供了风险解决环境。它建议以平衡和有效的方式利用缓解措施来节省资源。原创性/价值:制度可以实践它来平息和规范指定行业/细分市场中的宏观风险力量。

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