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  • All HBS Web  (5,366)
    • People  (10)
    • News  (875)
    • Research  (3,832)
    • Events  (22)
    • Multimedia  (59)
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Show Results For

  • All HBS Web  (5,366)
    • People  (10)
    • News  (875)
    • Research  (3,832)
    • Events  (22)
    • Multimedia  (59)
  • Faculty Publications  (2,656)
← Page 10 of 5,366 Results →
  • 07 Sep 2012
  • News

Global Innovation through Risk Resilience

  • 30 Jun 2022
  • News

Reconsidering Privacy Risks After Roe

  • 02 Mar 2012
  • Working Paper Summaries

Short-Termism, Investor Clientele, and Firm Risk

Keywords: by Francois Brochet, Maria Loumioti & George Serafeim
  • 2003
  • Working Paper

Risk Management and Corporate Value-at-Risk

By: Marc L Bertoneche and F. Maurer
Citation
Related
Bertoneche, Marc L., and F. Maurer. "Risk Management and Corporate Value-at-Risk." University of Bordeaux Working Paper Series, January 2003.
  • 07 Jul 2020
  • Podcast

Uncovering and Pricing Climate Risk

How do managers within the different sectors of financial services identify and value climate risk? Professor George Serafeim talks with an asset manager, an insurer, a hedge fund manager, and an investment banker about their approaches to identifying and valuing... View Details
  • 09 Jul 2009
  • News

Systemic Risk and the Fed

  • 24 Aug 2016
  • News

Emerging Markets: Opportunity and Risk

  • 29 Nov 2016
  • Working Paper Summaries

Fiscal Risk and the Portfolio of Government Programs

Keywords: by Samuel G. Hanson, David S. Scharfstein, and Adi Sunderam
  • June 2025
  • Article

Unregulated Emotional Risks of AI Wellness Apps

By: Julian De Freitas and Glenn Cohen
We propose that AI-driven wellness apps powered by large language models can foster extreme emotional attachments and dependencies akin to human relationships—posing risks like ambiguous loss and dysfunctional dependence—that challenge current regulatory frameworks and... View Details
Keywords: AI and Machine Learning; Well-being; Emotions; Governing Rules, Regulations, and Reforms
Citation
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De Freitas, Julian, and Glenn Cohen. "Unregulated Emotional Risks of AI Wellness Apps." Nature Machine Intelligence 7, no. 6 (June 2025): 813–815.
  • April 2006
  • Background Note

Legal Aspects of Management: Anticipating and Managing Risk

Describes the sixth and final module of the Harvard Business School MBA second-year elective course Legal Aspects of Management. This module deals with the way firms should approach business risks in order to avoid legal liability and how firms can use contracts to... View Details
Keywords: Risk Management; Contracts; Legal Liability
Citation
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Bagley, Constance E. "Legal Aspects of Management: Anticipating and Managing Risk." Harvard Business School Background Note 806-148, April 2006.
  • September 2009
  • Case

The Risk Management Foundation of the Harvard Medical Institutions, Inc.

By: Richard M.J. Bohmer, Stephen P. Bradley and Natalie Kindred
Through its uniquely proactive approach to medical malpractice risk management, the Risk Management Foundation (RMF) has decreased claims—and premiums—for the Harvard hospitals it insures. The RMF is the captive medico-legal insurer of the Harvard medical institutions... View Details
Keywords: Cost Management; Insurance; Health Care and Treatment; Risk Management; Performance Improvement; Safety; Health Industry; Insurance Industry; Boston
Citation
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Bohmer, Richard M.J., Stephen P. Bradley, and Natalie Kindred. "The Risk Management Foundation of the Harvard Medical Institutions, Inc." Harvard Business School Case 610-014, September 2009.
  • April 2025
  • Article

How Central Banks Manage Climate and Energy Transition Risks

By: Esther Shears, Jonas Meckling and Jared Finnegan
Central banks have begun to examine and manage climate risks, including both transition risks of moving from fossil fuels to clean energy and physical climate risks. Here we provide a systematic assessment of how and why central banks address climate risks on the basis... View Details
Keywords: Banks and Banking; Risk and Uncertainty; Climate Change; Transition; Risk Management
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Shears, Esther, Jonas Meckling, and Jared Finnegan. "How Central Banks Manage Climate and Energy Transition Risks." Nature Energy 10, no. 4 (April 2025): 470–478.
  • 19 Sep 2014
  • News

Alibaba IPO: Corporate Structure Is Huge Investment Risk

  • 2025
  • Report

High Stakes: A Framework for Geopolitical Risk Management

By: Meg Rithmire and David Fagan
This report provides a data-based assessment of how U.S. companies perceive geopolitical risk and articulates a recommended decision-making process and framework to manage such risk. The research reflected in the report indicates that various concerns related to China... View Details
Keywords: Globalization; International Relations; Business or Company Management; Risk Management
Citation
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Rithmire, Meg, and David Fagan. "High Stakes: A Framework for Geopolitical Risk Management." Report, U.S. Chamber of Commerce Foundation, Washington, DC, USA, 2025.
  • 07 Apr 2020
  • Video

Incorporating Climate Risk into Financial Models: Sustainable Finance

  • Research Summary

Systematic Risk in the Housing Markets

A one-factor pricing model is employed to investigate the internal consistency of single family home and professionally-managed property prices during 1986-2006. The risk fac-tor used here is the US real estate index, which has much stronger explanatory power than the... View Details
  • October 2020
  • Teaching Note

Swissgrid: Enterprise Risk Management in a Digital Age

By: Robert S. Kaplan and Anette Mikes
This note was prepared by HBS Professor Robert Kaplan and Professor Anette Mikes (University of Oxford) for the purpose of aiding classroom instructors in the use of “Swissgrid: Enterprise Risk Management in a Digital Age,” HBS No. 119-045. View Details
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Kaplan, Robert S., and Anette Mikes. "Swissgrid: Enterprise Risk Management in a Digital Age." Harvard Business School Teaching Note 121-035, October 2020.
  • July 9, 2009
  • Editorial

Systemic Risk and the Fed

By: Robert C. Pozen
Keywords: Risk and Uncertainty; System
Citation
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Pozen, Robert C. "Systemic Risk and the Fed." Wall Street Journal (July 9, 2009).
  • Article

You Can Manage Construction Risk

By: John D. Macomber
Keywords: Risk and Uncertainty; Construction; Management
Citation
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Related
Macomber, John D. "You Can Manage Construction Risk." Harvard Business Review 67, no. 2 (March–April 1989).
  • 3 Jul 2013
  • Lecture

Design Options and Positive Risk

By: Carliss Y. Baldwin
Citation
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Baldwin, Carliss Y. "Design Options and Positive Risk." Lecture at the Trento Summer School, Cognitive and Experimental Economics Laboratory (CEEL) and Università degli studi di Trento, Trento, Italy, July 3, 2013.
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