New Book: Reputational Risk Management in Financial Institutions - out now


A practical guide on how to best implement a reputational risk management framework 

Reputational Risk Management in Financial Institutions

Edited by Thomas Kaiser and Petra Merl

Dear Victor,

Identify and mitigate the risks that are now the responsibility of all in the industry.

"...This book provides an important step forward in helping to shed light on this much misunderstood and often mismanaged concept. It is essential reading for risk managers and executives alike."
Dr Simon Ashby, FIOR, Chairman of the Institute of Operational Risk

Order your copy here

Gain practical guidance regarding how to implement a reputational risk management framework, thus both anticipating possible regulatory requirements and improving the decision-making process of your institution. Read the complimentary introduction here.

“...the most comprehensive book in this new and challenging risk branch...This book provides the reader with not just examples of how some large financial institutions manage this risk, but also delivers an overview of methodologies used to better assess reputational risk..."
Prof. Dr. Marcelo Cruz, New York University Stern School of Business

As illustrated by recent scandals such as currency rigging and LIBOR, protecting reputation is now a significant component of risk management in banks and financial institutions, and is not something to be ignored.

Easy ways to order your copy:

Online - securely here         

Kind regards,
Phil Jackson
Marketing Manager, Risk Books


ISBN: 9781782721017
Format: Paperback
Pages: 336
Published:28th November 2014

View the table of contents here.

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