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MARC Record from marc_columbia

Record ID marc_columbia/Columbia-extract-20221130-030.mrc:121715347:5842
Source marc_columbia
Download Link /show-records/marc_columbia/Columbia-extract-20221130-030.mrc:121715347:5842?format=raw

LEADER: 05842cam a2200817 i 4500
001 14752857
005 20220403000939.0
006 m o d
007 cr cnu---unuuu
008 190415s2019 enk o 000 0 eng d
035 $a(OCoLC)on1097184154
035 $a(NNC)14752857
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015 $aGBB986550$2bnb
016 7 $a019368098$2Uk
019 $a1096524800
020 $a9780429282515$q(electronic bk.)
020 $a0429282516$q(electronic bk.)
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020 $a9781000001006
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024 7 $a10.4324/9780429282515$2doi
035 $a(OCoLC)1097184154$z(OCoLC)1096524800
037 $a9780429282515$bTaylor & Francis
050 4 $aHD61
072 7 $aBUS$x082000$2bisacsh
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072 7 $aBUS$x085000$2bisacsh
072 7 $aKJC$2bicssc
082 04 $a658.155$223
049 $aZCUA
245 00 $aRisk management.$nVolume II,$pManagement and control /$cedited by Gerald Mars, David T.H. Weir.
246 30 $aManagement and control
264 1 $aLondon :$bRoutledge,$c2019.
300 $a1 online resource (1 volume)
336 $atext$btxt$2rdacontent
337 $acomputer$bc$2rdamedia
338 $aonline resource$bcr$2rdacarrier
490 1 $aRoutledge revivals
588 0 $aPrint version record.
505 0 $aCover; Half Title; Title; Copyright; Series Page; Original Title; Original Copyright; Contents; Acknowledgements; Series Preface; Introduction; 1 The Royal Society (1992), 'Estimating Engineering Risk', RISK -- Analysis, Perception, Management, Report of a Royal Society Study Group, London: The Royal Society, pp. 13-34.; 2 T. Horlick-Jones and G. Peters (1991), 'Measuring Disaster Trends Part One: Some Observations on the Bradford Fatality Scale', Disaster Management, 3, pp. 144-48.
505 8 $a3 T. Horlick-Jones, J. Fortune and G. Peters (1991), 'Measuring Disaster Trends Part Two: Statistics and Underlying Processes', Disaster Management, 4, pp. 41-45.4 Kevin Keasey and Robert Watson (1991), 'Financial Distress Prediction Models: A Review of Their Usefulness', British Journal of Management, 2, pp. 89-102.; 5 Zachary Sheaffer, Bill Richardson and Zehava Rosenblatt (1998), 'Early-Warning-Signals Management: A Lesson from the Barings Crisis', Journal of Contingencies and Crisis Management, 6, pp. 1-22.
505 8 $a6 Thierry C. Pauchant, Ian I, Mitroff and Patrick Lagadec (1991), 'Toward a Systemic Crisis Management Strategy: Learning from the Best Examples in the US, Canada and France', Industrial Crisis Quarterly, 5, pp. 209-32.7 Jaak Jurison (1995), 'The Role of Risk and Return in Information Technology Outsourcing Decisions', Journal of Information Technology, 10, pp. 239-47.; 8 Neil Ritson (1998), 'Close-Coupled Disasters How Oil Majors are De-integrating and then Managing Contractors', Proceedings, 3rd International Conference Managing Innovative Manufacturing, pp. 183-91.
505 8 $a9 Diane Vaughan (1990), 'Autonomy, Interdependence, and Social Control: NASA and the Space Shuttle Challenger', Administrative Science Quarterly, 35, pp. 225-57.10 Jos A. Rijpma (1997), 'Complexity, Tight-Coupling and Reliability: Connecting Normal Accidents Theory and High Reliability Theory Journal of Contingencies and Crisis Management, 5, pp. 15-23.; 11 Clive Smallman and D.T.H. Weir (1995), 'Culture and Communications: Countering Conspiracies in Organisational Risk Management', New Avenues in Crisis Management, pp. 147-55.
505 8 $a12 William Richardson (1993), 'Identifying the Cultural Causes of Disasters: An Analysis of the Hillsborough Football Stadium Disaster', Journal of Contingencies and Crisis Management, 1, pp. 27-35.13 Bill Keepin and Brian Wynne (1984), Technical Analysis of IIASA Energy Scenarios', Nature, 312, pp. 691-95.; 14 Christine M. Pearson and Ian I. Mitroff (1993), 'From Crisis Prone to Crisis Prepared: A Framework for Crisis Management', Academy o f Management Executive, 7, pp. 48-59.
520 $aFirst published in 2000, Risk Management is a two volume set, comprised of the most significant and influential articles by the leading authorities in the studies of risk management. The volumes includes a full-length introduction from the editor, an internationally recognized expert, and provides an authoritative guide to the selection of essays chosen, and to the wider field itself. The collections of essays are both international and interdisciplinary in scope and provide an entry point for investigating the myriad of study within the discipline.
650 0 $aRisk management.
650 2 $aRisk Management
650 6 $aGestion du risque.
650 7 $arisk management.$2aat
650 7 $aBUSINESS & ECONOMICS$xIndustrial Management.$2bisacsh
650 7 $aBUSINESS & ECONOMICS$xManagement.$2bisacsh
650 7 $aBUSINESS & ECONOMICS$xManagement Science.$2bisacsh
650 7 $aBUSINESS & ECONOMICS$xOrganizational Behavior.$2bisacsh
650 7 $aRisk management.$2fast$0(OCoLC)fst01098164
655 0 $aElectronic books.
655 4 $aElectronic books.
700 1 $aMars, Gerald,$eeditor.
700 1 $aWeir, David,$d1939-$eeditor.
776 08 $iPrint version:$tRisk management. Volume II, Management and control.$dLondon : Routledge, 2019$z9780367244460$w(OCoLC)1085969449
830 0 $aRoutledge revivals.
856 40 $uhttp://www.columbia.edu/cgi-bin/cul/resolve?clio14752857$zTaylor & Francis eBooks
852 8 $blweb$hEBOOKS