The Upside of Risk: Turning Complex Burdens into Strategic Advantages for Financial Institutions (The Upside Series: Strategic Success for Financial Institutions)
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The Upside of Risk: Turning Complex Burdens into Strategic Advantages for Financial Institutions (The Upside Series: Strategic Success for Financial Institutions)

by Michael Berman

Finance strategy Risk Management
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The Upside of Risk explores how financial institutions can reconsider complex burdens through a strategic lens. Michael Berman’s book connects risk, institutional decision-making, and the pursuit of strategic advantages, offering a focused perspective on success in the financial sector.

About This Book

The Upside of Risk explores strategic thinking for financial institutions.

It focuses on the possibility of turning complex burdens into strategic advantages.

The book presents risk as a subject connected to institutional decision-making and long-term success.

As part of The Upside Series, it addresses strategic success for financial institutions.

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I will be using this book for: