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  • All HBS Web  (5,848)
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  • All HBS Web  (5,848)
    • People  (11)
    • News  (905)
    • Research  (4,202)
    • Events  (26)
    • Multimedia  (55)
  • Faculty Publications  (2,878)
← Page 21 of 5,848 Results →
  • September 2011 (Revised January 2012)
  • Case

Gerson Lehrman Group: Managing Risks

By: Boris Groysberg, Paul Healy and Sarah L. Abbott
It was June 2011 and Alexander Saint-Amand, President and CEO of Gerson Lehrman Group, the largest expert network firm globally, has found his firm once again in the midst of controversy. This controversy centered around a number of insider trading cases that had been... View Details
Keywords: Risk Management
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Groysberg, Boris, Paul Healy, and Sarah L. Abbott. "Gerson Lehrman Group: Managing Risks." Harvard Business School Case 412-004, September 2011. (Revised January 2012.)

    How to Make Climate Risk Good Business

    The risk profiles of many real estate markets are rapidly increasing globally. Insurers and mortgage brokers are taking note and adjusting their offering based on widely available climate data and predictive analytics. John Macomber suggests that consumers and... View Details
    • Article

    Beyond Statistics: The Economic Content of Risk Scores

    By: Liran Einav, Amy Finkelstein, Raymond Kluender and Paul Schrimpf
    "Big data" and statistical techniques to score potential transactions have transformed insurance and credit markets. In this paper, we observe that these widely-used statistical scores summarize a much richer heterogeneity, and may be endogenous to the context in which... View Details
    Keywords: Analytics and Data Science; Risk and Uncertainty; Insurance Industry
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    Einav, Liran, Amy Finkelstein, Raymond Kluender, and Paul Schrimpf. "Beyond Statistics: The Economic Content of Risk Scores." American Economic Journal: Applied Economics 8, no. 2 (April 2016): 195–224.
    • Article

    Configuring a Supply Chain to Reduce the Cost of Demand Uncertainty

    By: A. Raman, M. Fisher, J. Hammond and W. Obermeyer
    Keywords: Supply Chain; Cost; Risk and Uncertainty
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    Raman, A., M. Fisher, J. Hammond, and W. Obermeyer. "Configuring a Supply Chain to Reduce the Cost of Demand Uncertainty." Production and Operations Management 6, no. 3 (Fall 1997): 211–225.
    • 1 PM – 2 PM EDT, 17 Sep 2015
    • Webinars: Trending@HBS

    Risk of Unfunded Public Pension Fund and Health Care Benefits in the US

    Detroit is the canary in the coal mine on the issue of unfunded pension and health care liabilities. Had the city not declared bankruptcy, it was projected that 67% of every incremental revenue dollar would have been allocated to these legacy benefits by 2017. Yet even... View Details
    • Article

    Inflation-Indexed Bonds and the Expectations Hypothesis

    By: Carolin E. Pflueger and Luis M. Viceira
    This paper empirically analyzes the Expectations Hypothesis (EH) in inflation-indexed (or real) bonds and in nominal bonds in the U.S. and in the U.K. We strongly reject the EH in inflation-indexed bonds and also confirm and update the existing evidence rejecting the... View Details
    Keywords: TIPS; Breakeven Inflation; Return Predictability; Bond Risk Premia; Risk Management; Bonds; Financial Liquidity; Inflation and Deflation; United Kingdom; United States
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    Pflueger, Carolin E., and Luis M. Viceira. "Inflation-Indexed Bonds and the Expectations Hypothesis." Annual Review of Financial Economics 3 (2011): 139–158.
    • Article

    Leaving It to Chance"—Passive Risk Taking in Everyday Life

    By: Ruti Keinan and Yoella Bereby-Meyer
    While risk research focuses on actions that put people at risk, this paper introduces the concept of "passive risk"—risk brought on or magnified by inaction. We developed a scale measuring personal tendency for passive risk taking (PRT), validated it using a 150... View Details
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    Keinan, Ruti, and Yoella Bereby-Meyer. Leaving It to Chance"—Passive Risk Taking in Everyday Life." Judgment and Decision Making 7, no. 6 (November 2012): 705–715.
    • 2009
    • Chapter

    Becoming the Lamp Bearer: The Emerging Roles of the Chief Risk Officer

    By: Anette Mikes
    Enterprise risk management, under the leadership of chief risk officers (CROs), has the promise to bring enterprise-wide risks, which threaten the achievement of the firm's strategic objectives, into the open and under control. Its organizational significance is... View Details
    Keywords: Governance Controls; Managerial Roles; Risk Management; Business Processes; Risk and Uncertainty
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    Mikes, Anette. "Becoming the Lamp Bearer: The Emerging Roles of the Chief Risk Officer." Chap. 5 in Enterprise Risk Management: Today's Leading Research and Best Practices for Tomorrow's Executives, edited by John Fraser and Betty Simkins. John Wiley & Sons, 2009.
    • 1998
    • Working Paper

    Diversification and Risk Taking in the U.S. Cable Television Industry

    By: Thomas R. Eisenmann
    Keywords: Risk Management; Diversification; Television Entertainment; Media and Broadcasting Industry; United States
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    Eisenmann, Thomas R. "Diversification and Risk Taking in the U.S. Cable Television Industry." Harvard Business School Working Paper, No. 99-003, July 1998.
    • July 2024
    • Teaching Note

    The Israeli Innovation Authority: Decision-Making in a Time of Uncertainty

    By: Shai Bernstein, Josh Lerner and Sabrina T. Howell
    Teaching Note for HBS Case No. 824-198. View Details
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    Bernstein, Shai, Josh Lerner, and Sabrina T. Howell. "The Israeli Innovation Authority: Decision-Making in a Time of Uncertainty." Harvard Business School Teaching Note 825-052, July 2024.
    • 1998
    • Working Paper

    Public Risk Management and the Private Sector: An Exploratory Essay

    By: David A. Moss
    Citation
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    Moss, David A. "Public Risk Management and the Private Sector: An Exploratory Essay." Harvard Business School Working Paper, No. 98-073, February 1998.
    • 2006
    • Article

    The Relevance of Reputational Risk

    By: Robert G. Eccles Jr.
    Keywords: Reputation; Risk and Uncertainty
    Citation
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    Eccles, Robert G., Jr. "The Relevance of Reputational Risk." Quartal. Media-Tenor (2006).
    • Other Article

    A Discussion of Internal Control Weaknesses and Client Risk Management

    By: Aiyesha Dey
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    Dey, Aiyesha. "A Discussion of Internal Control Weaknesses and Client Risk Management." Journal of Accounting, Auditing & Finance 24, no. 4 (October 2009): 581–587.
    • 11 Feb 2011
    • News

    The Impact of Financing Risk on Innovative Startups

    • 19 Jul 2022
    • News

    Harvard Professors Discuss the Risks and Rewards of Whistleblowing at National Whistleblower Day Event

    • November – December 2007
    • Article

    Beyond Compliance: The Maturation of CROs and Other Senior Risk Executives

    By: Anette Mikes
    Keywords: Management; Risk and Uncertainty
    Citation
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    Mikes, Anette. "Beyond Compliance: The Maturation of CROs and Other Senior Risk Executives." GARP Risk Review, no. 39 (November–December 2007): 12–18.
    • 14 Oct 2014
    • News

    The Unanticipated Risks of Maximizing Shareholder Value

    • April 1978
    • Article

    The Returns and Risk of Alternative Call Option Portfolio Investment Strategies

    By: Robert C. Merton, Myron S. Scholes and Matthew L. Gladstein
    Keywords: Risk and Uncertainty; Investment; Strategy
    Citation
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    Merton, Robert C., Myron S. Scholes, and Matthew L. Gladstein. "The Returns and Risk of Alternative Call Option Portfolio Investment Strategies." Journal of Business 51 (April 1978): 183–242.
    • Research Summary

    Concentrated Capital Losses and the Pricing of Corporate Credit Risk

    By: Emil N. Siriwardane

    In studying the U.S. credit default swap (CDS) market, Professor Siriwardane has discovered that the selling of CDS protection is extremely concentrated, with five sellers accounting for nearly half the market. Further, in contrast to what neoclassical theory... View Details

    • May 1982
    • Article

    Risk Aversion and Nash's Solution for Bargaining Games with Risky Outcomes

    By: A. E. Roth and U. Rothblum
    Keywords: Risk and Uncertainty; Negotiation; Outcome or Result
    Citation
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    Roth, A. E., and U. Rothblum. "Risk Aversion and Nash's Solution for Bargaining Games with Risky Outcomes." Econometrica 50, no. 3 (May 1982): 639–647.
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