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Risk Management Dissertation Ideas
Published by Owen Ingram at January 2nd, 2023 , Revised On August 18, 2023
Identifying and assessing risks in various life situations is the focus of risk management dissertation topics. The key focus of risk management research topics is on risk prevention and risk mitigation. This field is growing in popularity among students every day because of the need for businesses and organisations to prevent and manage risks as part of their damage control strategies.
The decision of what to write about for your dissertation can be difficult. But there is no need to panic yet because you’ve come to the right place if you’re looking for risk management dissertation topics .
For Your Consideration, Here Are Some Excellent Risk Management Dissertation Ideas.
- Investigating the relationship between risk management and organizational performance.
- A review of the literature on the effects of decision support on risk management strategies in business contexts.
- How do insurance companies approach risk management in their organizations? Is it fair, or do some changes need to be made to improve it?
- Earthquake risk management should concentrate on potential barriers and opportunities.
- A descriptive analysis of the relationship between earthquake risk management and earthquake insurance.
- How social and environmental factors relate to risk management, either directly or indirectly.
- A review of empirical evidence on long-term risk management.
- Geotechnical risk management: a comparison of developed and developing countries.
- Investigating the guidelines and principles related to the risk management domain.
- The impact of the relationship between key individuals and business concepts, as well as the degree to which risk management tools are related.
- Investigating the connection between consumer safety and risk management.
- A quantitative study focuses on the factors for optimizing risk management in services.
- A detailed review of empirical evidence for a futuristic analysis of the risk management domain.
- Which of the following factors is a business’s most important risk management?
- Smart grid security risk management is a new area to research.
- Investigating the risk management strategies used in organizations in the UK.
- A correlational study of risk management and population health.
- Investigating the relationship between supply chain risk management and performance measurement.
- International comparison of traditional versus modern risk management strategies.
- A review of the literature on an international disaster risk management system.
- A descriptive analysis of risk management strategies in the pharmaceutical development industry.
- A correlational analysis of the relationship between risk perception and risk management.
- Focus on potential challenges and interventions in enterprise risk management.
- Risk management and big data in engineering and science projects.
- A review of empirical evidence on community-based disaster risk management.
- Portfolio risk management should emphasize the significance of six sigma quality principles.
- Using financial tools and operational methods to integrate supply chain risk management.
- Discovering risk management’s practical applications in Third World countries. Risk Management in a Supply Chain: How Have Current Trends in Global Supply Chain Management Influenced the Evolution of Risk-Management Strategies?
- Critical Success Factors for Financial Services Organizations Implementing an Operational Management System.
Nothing is more critical to a business than managing risks, whether large or small and bringing positive results to their customers. There is no doubt that the course will be interesting, and you will be able to find topics to write about using research methods such as diversity. Get expert assistance with your dissertation topics by placing an order for our dissertation topic and outline service today. You can take inspiration from the above-mentioned risk management dissertation ideas as well.
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To find risk management dissertation topics:
- Study industry challenges.
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- Select a specific risk aspect or sector that intrigues you.
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Home > Robinson College of Business > Risk Management and Insurance > RMI_DISS
Risk Management and Insurance Dissertations
Dissertations from 2023 2023.
Essays in Production Networks, Capital Structure and Asset Prices , Carlos Nunez
Dissertations from 2022 2022
Risk Analysis and Uncertainty Quantification in Insurance Ratemaking , Seul Ki Kang
Dissertations from 2021 2021
Essays on Statistical Issues in Finance , Haitao Huang
Statistical Inference for Mortality Models , Chen Ling
Essays on Risk Management of Insurance Companies , Qianlong Liu
Dissertations from 2019 2019
Measuring Risk In Networks , Daniel Quiggin
Dissertations from 2018 2018
Essays on Risk Pricing in Insurance , Qiheng Guo
Statistical Inference for the Haezendonck-Goovaerts Risk Measure , Xing Wang
Dissertations from 2017 2017
Investigating Microinsurance Issues by Using Laboratory Experiments to Evaluate the Welfare of Insurance , Jia Min Ng
Dissertations from 2016 2016
Essays on Household Finance: Income, Consumption, Debt, and Financial Delinquency , Philippe D'Astous
Essays on Insurance Markets and Regulation , Yiling Deng
Essays on Computational Problems in Insurance , Hongjun Ha
Dissertations from 2015 2015
Essays on Risk Management for Insurance Companies , Xiaohu Ping
Essays on Insurance Economics , Jinjing Wang
Dissertations from 2014 2014
Essays on Strategic Risk Management , Sampan Nettayanun
Essays on Financial Risk Modeling and Forecasting , Jinyu Yu
Dissertations from 2013 2013
Dynamic Models of the Insurance Markets , Ning Wang
Dissertations from 2012 2012
Essays on Financial Structure, Managerial Compensation and the Product Market , Hae Won Jung
Essays on Accident Forgiveness in Automobile Insurance , Fan Liu
Decisions under Risk, Uncertainty and Ambiguity: Theory and Experiments , Jimmy Martinez-Correa
Optimal Policyholder Behavior in Personal Savings Products and its Impact on Valuation , Thorsten Moenig
Essays on Lifetime Uncertainty: Models, Applications, and Economic Implications , Nan Zhu
Dissertations from 2010 2010
A Dynamic Analysis of Variable Annuities and Guarenteed Minimum Benefits , Jin Gao
House Prices and Mortgage Defaults: Econometric Models and Risk Management Applications , Xiangjing Wei
Essays on Adverse Selection and Moral Hazard in Insurance Market , Jian Wen
Dissertations from 2009 2009
Reinsurance Contracting with Adverse Selection and Moral Hazard: Theory and Evidence , Zhiqiang Yan
Dissertations from 2008 2008
Contingent Claim Pricing with Applications to Financial Risk Management , Hua Chen
Moment Problems with Applications to Value-At-Risk and Portfolio Management , Ruilin Tian
Dissertations from 2007 2007
Analysis of Pricing and Reserving Risks with Applications in Risk-Based Capital Regulation for Property/Casualty Insurance Companies , Chayanin Kerdpholngarm
The Effects of Merger and Acquisition on the Price of Insurance and Firm Performance in the U.S. Property-Liability Insurance Industry , Jeung Bo Shim
Financial Integration and Scope Efficiency: Post Gramm-Leach-Bliley , Yuan Yuan
Dissertations from 2006 2006
Operational Risk Capital Provisions for Banks and Insurance Companies , Edoh Fofo Afambo
The Effect of Defined Contribution Plans on the Retirement Decision , Wonku Hong
Mortality Risk Management , Yijia Lin
Estimation of Stock Price Distress Costs Associated with Downgrades using Regime-Switching Models , Andreas Milidonis
Dissertations from 2005 2005
Issues in Measuring the Efficiency of Property-Liability Insurers , James Tyler Leverty
Absolute or Relative? Which Standards do Credit Rating Agencies Follow? , Puneet Prakash
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An Integrated Cybersecurity Risk Management (I-CSRM) Framework for Critical Infrastructure Protection
Authors | |
---|---|
Type | PhD Thesis |
Abstract | Risk management plays a vital role in tackling cyber threats within the Cyber-Physical System (CPS) for overall system resilience. It enables identifying critical assets, vulnerabilities, and threats and determining suitable proactive control measures to tackle the risks. However, due to the increased complexity of the CPS, cyber-attacks nowadays are more sophisticated and less predictable, which makes risk management task more challenging. This research aims for an effective Cyber Security Risk Management (CSRM) practice using assets criticality, predication of risk types and evaluating the effectiveness of existing controls. We follow a number of techniques for the proposed unified approach including fuzzy set theory for the asset criticality, machine learning classifiers for the risk predication and Comprehensive Assessment Model (CAM) for evaluating the effectiveness of the existing controls. |
Year | 2021 |
Publisher | University of East London |
Digital Object Identifier (DOI) | |
File | 2021_PhD_Kure.pdf |
Publication dates | |
05 Oct 2021 | |
Publication process dates | |
01 Mar 2021 | |
05 Oct 2021 |
https://repository.uel.ac.uk/item/89ww3
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Download files
2021_PhD_Kure.pdf | ||
License: CC BY-NC-ND 4.0 | ||
File access level: Anyone |
Related outputs
Asset Criticality and Risk Prediction for an Effective Cyber Security Risk Management of Cyber Physical System
Assets focus risk management framework for critical infrastructure cybersecurity risk management
Cyber Threat Intelligence for Improving Cybersecurity and Risk Management in Critical Infrastructure
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PHD, Business Administration: Risk Management & Insurance
The Risk Management and Insurance PhD program is designed to give students an understanding of both theoretical and applied aspects of insurance and risk management.
Degree Type: Doctoral
Degree Program Summary:
The Ph.D. program in risk management and insurance is designed to prepare students for teaching and research at universities and colleges and for positions in government and business. The program is individualized to allow for specializing in various areas within the field of risk management and insurance. By supplementing courses with other programs in the Terry College of Business Administration, the student has choices in the direction and concentration of his or her desired specialty. For example, graduate students can combine their insurance program with law, economics, quantitative methods, finance, management, marketing, or accounting. This flexibility gives the student a wide degree of latitude in choosing a program that corresponds with a specific career path.
Student enrolling in the PhD Program in Business Administration select a major field of study from one of the following business areas: Accounting, Finance, Management, Management Information Systems, Marketing, Real Estate, and Risk Management & Insurance. Students are also required to select a minor field and obtain a competency in research methodology. The minor field and research methodology courses may be chosen from inside or outside the Terry College of Business. The research apprenticeship, composed of 3 hours of coursework, is also taken under the guidance of a major professor and involves research-oriented activities that help the student develop skills needed to undertake a dissertation.
Following the completion of the coursework, comprehensive preliminary examinations, both written and oral, are required. These examinations are administered by the graduate faculty in each area of the student’s program of study. The written exam tends to focus on the student’s knowledge of the major field and research methods. The oral examination assesses the integration of the technical competencies in the foundation, the major and minor fields, and the research methodology. A dissertation completes the program. The PhD Dissertation Advisory committee works with the student on all aspects of the dissertation study.
Please use the links provided above if you would like to learn more about the PhD program structure and plan of study for a particular area. These links also serve as a portal to information provided by the individual areas.
Locations Offered:
Athens (Main Campus)
College / School:
Terry College of Business
600 S. Lumpkin Street Athens, GA 30605
Department:
Risk Management & Insurance
Graduate Coordinator(s):
David Eckles
Phone Number:
706-542-3578
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Dissertations on Risk Management
Risk Management is a process for identifying, understanding and mitigating any risks that are associated with a particular task or event. Individuals and organisations implement Risk Management to provide a layer of protection, allowing them to minimise risk in their operations.
View All Dissertation Examples
Latest Risk Management Dissertations
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Risk management in banks: determination of practices and relationship with performance
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Finance, Risk Management & Banking: Theses and Dissertations
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A STUDY OF UNCERTAINTY AND RISK MANAGEMENT PRACTICE RELATIVE TO PERCEIVED PROJECT COMPLEXITY A thesis submitted for the degree of Doctor of Philosophy
VIII CHALMERS, Civil and Environmental Engineering, Master‟s Thesis 2011:47 4.2 The PLC 37 4.3 Risk definition 38 4.4 The RMP 39 4.4.1 Risk identification 40 4.4.2 Risk assessment 41 4.4.3 Risk response 42 4.5 Risks handled in the project 44
Abstract Enterprise Risk Management Strategies for Organizational Sustainability by Kaleb M Wyma BBA - Accounting, Davenport University, 2016
Identifying and assessing risks in various life situations is the focus of risk management dissertation topics. The key focus of risk management research topics is on risk prevention and risk mitigation.
1 CORVINUS UNIVERSITY OF BUDAPEST KEY ISSUES OF OPERATIONAL RISK MANAGEMENT IN THE FINANCIAL SECTOR DISSERTATION Supervisor: Walter György, PhD Tamásné Vőneki Zsuzsanna
ScholarWorks at Georgia State University includes Doctoral Dissertations contributed by students of the J. Mack Robinson College of Business, Department of Risk Management and Insurance at Georgia State University. The institutional repository is administered by the Georgia State University Library in cooperation with individual departments and academic units of the University.
Authors: Kure, H. Type: PhD Thesis: Abstract: Risk management plays a vital role in tackling cyber threats within the Cyber-Physical System (CPS) for overall system resilience.
Abstract Effective Risk Management Strategies for Information Technology Project Managers by Amath SARR MBA, Keller Graduate School of Management of DeVry College, 2016
University of Stavanger 30. June 2020 Page 2 of 84 UNIVERSITY OF STAVANGER MASTER'S IN RISK AND SECURITY MANAGEMENT MASTER'S THESIS SEMESTER: Fall/Spring 2019-2020 AUTHOR: Cecilie Fleming ADVISER: Jon Tømmerås Selvik TITLE OF THESIS: Approaches to risk management in international projects: A comparative case study
Rochester Institute of Technology RIT Digital Institutional Repository Theses 4-20-2021 A Risk Management Framework Using Digital Transformation for
Stephen Zamore. Risk Management and Efficiency of Microfinance Institutions. Doctoral Dissertation for the degree of Philosophiae Doctor (PhD) University of Agder
I Acknowledgement This thesis was carried out to fulfill the master's degree in Risk Management at the Faculty of Science and Technology, University of Stavanger.
9 Acknowledgements To write a PhD is a fun, challenging, and rewarding solo expedition. You make the calls, take credit for them, and receive the critique.
Consult the top 50 dissertations / theses for your research on the topic 'Enterprise Risk Management.' Next to every source in the list of references, there is an 'Add to bibliography' button.
The Risk Management and Insurance PhD program is designed to give students an understanding of both theoretical and applied aspects of insurance and risk management.
Walden University ScholarWorks Walden Dissertations and Doctoral Studies Walden Dissertations and Doctoral Studies Collection 2014 Modelling Risk Management in Banks: Examining
ii Acknowledgements This dissertation work realised its success because of the unmatched help from the following individuals and institutions which are owed recognition;
v DEDICATION I dedicate this PhD thesis to: My nuclear family Wife Martha; Daughters- Jackie Germaine & Terry Val; Son -Mannu Barry. & My parents Regina Ondigo and the late Helekia Ondigo (who never lived long enough to
Risk Management is a process for identifying, understanding and mitigating any risks that are associated with a particular task or event. Individuals and organisations implement Risk Management to provide a layer of protection, allowing them to minimise risk in their operations.
Abstract The issue of risk management in banks has become the centre of debate after the recent financial crises. Several efforts have been made to improve the risk management and performance of banks including introducing the Basel Accords as well as risk management guidelines by central banks.
This LibGuide guides researchers in the filed of Finance, Banking and Risk Management to the most important resources in their filed of research Finding theses and dissertations on your research topic
Consult the top 50 dissertations / theses for your research on the topic 'Financial risk management.' Next to every source in the list of references, there is an 'Add to bibliography' button.
In ancient Greece, Pythagoras promoted the idea that numbers hold significant meanings. The number 3 was considered to be the perfect number, embodying harmony, wisdom and understanding. Three Monash Law PhD students who come from different backgrounds and started their graduate research degrees at ...