Risk Management for Nokia


Research Paper (undergraduate), 2013

25 Pages, Grade: 1 (First) = 82 %


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

Excerpt out of 25 pages

Details

Title
Risk Management for Nokia
College
New College Durham
Grade
1 (First) = 82 %
Author
Year
2013
Pages
25
Catalog Number
V214797
ISBN (eBook)
9783656428947
ISBN (Book)
9783656440574
File size
3850 KB
Language
English
Keywords
risk, management, nokia
Quote paper
Rieke Hinrichs (Author), 2013, Risk Management for Nokia, Munich, GRIN Verlag, https://www.grin.com/document/214797

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