Publication:
General overview to enterprise risk management with its key components and determinants from the management perspectives

dc.contributor.authorsEbru Oydag H., Senvar O.
dc.date.accessioned2022-03-15T02:14:04Z
dc.date.accessioned2026-01-10T18:54:53Z
dc.date.available2022-03-15T02:14:04Z
dc.date.issued2019
dc.description.abstractEnterprise Risk Management (ERM) is a comprehensive and holistic approach to risk management, requiring the determination, assessment and management of risks in an integrated and systematic manner. ERM has been considered as a financial, and accounting-based tool used to assess and manage the risks an organisation faces and to meet the compliance requirements of creditors, rating agencies, regulators and stock exchanges. Although ERM is widely examined by internal audit and finance scholars, ERM researches from management and strategy perspectives are limited in the literature. The purpose of this chapter is to provide a comprehensive overview of ERM including ERM concepts and definition of the risks and categorisation of risks surrounding the organisations. Moreover, the chapter handles how the risk management evolved into ERM. The distinguishing components of ERM (pillars) and the leading factors and motivation for ERM adoption (determinants) are presented. © 2020 by IGI Global. All Rights reserved.
dc.identifier.doi10.4018/978-1-7998-1033-9.ch013
dc.identifier.isbn9781799810353; 9781799811688
dc.identifier.urihttps://hdl.handle.net/11424/247997
dc.language.isoeng
dc.publisherIGI Global
dc.relation.ispartofSocial, economic, and environmental impacts between sustainable financial systems and financial markets
dc.rightsinfo:eu-repo/semantics/closedAccess
dc.titleGeneral overview to enterprise risk management with its key components and determinants from the management perspectives
dc.typebookPart
dspace.entity.typePublication
oaire.citation.endPage306
oaire.citation.startPage289
oaire.citation.titleSocial, economic, and environmental impacts between sustainable financial systems and financial markets

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