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Call for Cambridge Book Chapter from Editor (Index in WoS Clarivate Analytics)
Editor Dinh Tran Ngoc Huy, Cambridgescholars publisher
Call for chapters
Deadline for submission: 1/March/2021
Project end date: 30/April/2021
Intended date book publish: Summer or Autumn 2021
Introduction
Dear valuable scholars, respected researchers and business consultants around the world
With this book proposal, we expect your chapters contribution can become a lesson to apply for Risk management (RM) in general and Financial RM in specific, in banking and financial service industry in developing countries ( including Vietnam, Asian Pacific, Middle East, Latin America and Africa, etc.)
I am glad to be Guest editor for the new book. Cambridgescholars is a good place to post your very good writings and papers in chapters. See more and welcome scholars to contribute at https://www.cambridgescholars.com/pages/guest-edited-collections
Your book chapter will be highly valued because Good news is that Cambridgescholars publisher is indexed in the Clarivate Analytics Web of Science Master Book List: http://wokinfo.com/mbl/publishers/
The book title:
Risk management Via Analyzing Risk in Banking, Insurance, Stock and Investment Sectors After the Global Economic Crisis
Abstract
Contemporary Risk Management has been emerging as one of the most prevalent issues since the global economic crisis of 2007-2009, especially during the modern technology revolution of recent years (4.0 and further). The financial crises in 1997-1999 and 2007-2009 are among vital examples of failures in systems of corporate governance, and, in particular, failures in risk management systems in enterprises. Enhancing corporate governance with stronger risk management processes will help firms to better prevent and control risk in the context of the economic recession which may occur as a result of the probable China-US commerce war and Covid-19 consequences. Though primarily aimed at banks and financial service firms, the book intends to provide insights into implementing practicable policies applicable across all global sectors and markets.
Aim
Connect business research papers relating to theories and practices in management and risk management fields in various industries or sectors in domestic or global markets.
Target audience
Consist of graduate and last year undergraduate students, researchers, scholars, businessmen and women, academicians in universities and colleges around the world.
Suggested topics (but not limited to)
We suggest 28 below Chapter titles for you to write and contribute your chapter, you can select any title to write a book chapter with just 10-15 pages and send to our Cambridge editors as soon as possible:
Risk management and Financial Risk management Concept
Relationship between mangement, governance and risk management
Relationship between leadership and risk management
Impacts of other business functions (marketing, customer service, sale, finance, IT operation,etc.) on risk management
Relationship or impacts between quality management and risk management
Examples of Financial Risk Models
Risk management in Emerging markets vs. Developed markets
Further Analysis on Managing risk to earn more profits at banks and financial firms
Current Strengths and Weaknesses in Risk management at banks, securities and other financial firms
Further Analysis on Relation between strategic management and risk management in various commercial banks, insurance and stock businesses and other companies
Some risk management models at banks, insurance, securities companies and financial groups
Further Analysis on Financial risk management model at banks and financial companies
Risk management and technology innovation
Further analysis on Risk mangement activities in project mangement
Common Techniques and Tools for Financial Risk Mangement in Banking and Financial Service Industry
Further Analysis on Relation between Risk management and Internal Audit
Further Analysis on Relation between Risk management and External Auditing
Further Analysis on Relation between Risk management and Internal Control
Risk management model and standards in developed countries in Asia Pacific
FINANCIAL Risk management model and standards in developed countries in Asia Pacific
Risk management model and standards in developed countries in Asia Pacific
FINANCIAL Risk management model and standards in developed countries in Europe
Risk management model and standards in developed countries in Asia Pacific
FINANCIAL Risk management model and standards in developed countries in America
Risk management model and standards in developed countries in Asia Pacific
FINANCIAL Risk management (RM) models and standards in developed countries (UK, Australia)
Conclusion (writtent by Guest Editor).
It is the time for us to write a CONSULTING BOOK covering many aspects of international RM. We look forward to receive your chapters soon.
Guest Editor
Dinh Tran Ngoc Huy
International University of Japan, Japan – Banking University HCMC, Ho Chi Minh city Vietnam