Excerpt
I Contents
1. Introduction
2.1 Definitions and Concepts of Risk Management
2.2 The Risk Management Process (Tools and Techniques)
3. Different Types of Generic Risks
3.1 Product and Market Risk
3.2 Strategic Risk
3.3 Financial Risk
3.3.1 Equity Risk
3.3.2 Liquidity Risk
3.4 Political Risk
3.5 Environmental Risk
3.6 Reputation Risk
4. Types of Risks that Nokia Faces
4.1 Product and Market Risk
4.2 Strategic Risk
4.3 Financial Risk
4.3.1 Liquidity Risk
4.3.2 Equity Risk
4.4 Political Risk
4.5 Environmental Risk
4.6 Reputation Risk
5. Strategies for Nokia to Manage Risks
5.1 Diversification & Product Development
5.2 Alliances
5.3 Market Research and Marketing
5.4 Staff Development/ New Staff
5.5 Insurances
5.6 Sustainability
5.7 Control, Observation & Assessment
6. Conclusion
II Bibliography
III Table of Figures
IV Appendix
- Quote paper
- Rieke Hinrichs (Author), 2013, Risk Management for Nokia, Munich, GRIN Verlag, https://www.grin.com/document/214797
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