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Number of items at this level: 230.

A

Agarwal, Shweta (2011) Rethinking risk: the impact of action uncertainty. In: LSE Research Day 2011: The Early Career Researcher, 26 May 2011, London School of Economics and Political Science, London, UK. (Unpublished)

Agrawal, Ashwini K. (2012) Corporate governance objectives of labor union shareholders: evidence from proxy voting. The Review of Financial Studies, 25 (1). pp. 187-226. ISSN 0893-9454

Agrawal, Ashwini K. (2013) The impact of investor protection law on corporate policy and performance: evidence from the blue sky laws. Journal of Financial Economics, 107 (2). pp. 417-435. ISSN 0304-405X

Agrawal, Ashwini K. and Matsa, David A. (2013) Labor unemployment risk and corporate financing decisions. Journal of Financial Economics, 108 (2). pp. 449-470. ISSN 0304-405X

Anderson, Ronald W. (2008) Some determinants of the price of default risk. Discussion paper, 615. Financial Markets Group, London School of Economics and Political Science, London, UK.

Anderson, Ronald W. and Hamadi, Malika (2016) Cash holding and control-oriented finance. Journal of Corporate Finance, 41. pp. 410-425. ISSN 0929-1199

Appelbaum, Eileen and Batt, Rosemary (2017) Tracking the pesky myths that blame women for the glass ceiling. LSE Business Review (23 Jan 2017). Blog Entry.

Arena, Marika and Arnaboldi, Michela and Palermo, Tommaso (2017) The dynamics of (dis)integrated risk management: a comparative field study. Accounting, Organizations and Society. ISSN 0361-3682 (In Press)

Atherton, Mark A. and Bates, Ronald A. and Wynn, Henry P. (2014) Dimensional analysis using toric ideals: primitive invariants. PLoS ONE, 9 (12). e112827. ISSN 1932-6203

B

Baka, Vasiliki (2010) How have user-generated-content websites changed organisational risk reputation management in the travel sector? In: Relating research to reality: interdisciplinary ideas for a changing world. LSE PhD student poster exhibition, 26 May 2010, London School of Economics and Political Science, London, UK. (Unpublished)

Baldwin, Robert (2011) Comment on Donald Macrae, ‘standards for risk assessment of standards’. Journal of Risk Research, 14 (8). pp. 943-945. ISSN 1366-9877

Baldwin, Robert and Black, Julia and O’Leary, Gerard (2014) Risk regulation and transnationality: institutional accountability as a driver of innovation. Transnational Environmental Law, 3 (2). pp. 373-390. ISSN 2047-1025

Bana e Costa, Carlos A. and Ensslin, Leonardo and Corrêa, Emerson C. and Vansnick, Jean-Claude (1999) Decision support systems in action: integrated application in a multicriteria decision aid process. European Journal of Operational Research, 113 (2). pp. 315-335. ISSN 0377-2217

Barrieu, Pauline and Louberge, Henri (2009) Hybrid cat bonds. Journal of Risk and Insurance, 76 (3). pp. 547-578. ISSN 0022-4367

Barrieu, Pauline and Louberge, Henri (2013) Reinsurance and securitisation of life insurance risk: the impact of regulatory constraints. Insurance: Mathematics and Economics, 52 (2). pp. 135-144. ISSN 0167-6687

Bates, R. A. and Buck, R. J. and Riccomagno, E. and Wynn, H. P. (1996) Experimental design and observation for large systems. Journal of the Royal Statistical Society. Series B: Statistical Methodology, 58 (1). pp. 77-94. ISSN 1369-7412

Beatty, Anne and Gron, Anne and Jorgensen, Bjorn N. (2005) Corporate risk management: evidence from product liability. Journal of Financial Intermediation, 14 (2). pp. 152-178. ISSN 1042-9573

Benigno, Gianluca and Kucuk, H. (2012) Portfolio allocation and international risk sharing. Canadian Journal of Economics, 45 (2). pp. 535-565. ISSN 1540-5982

Bernile, Gennaro and Bhagwat, Vineet and Rau, Raghavendra (2017) The experience of an early-life disaster affects how a CEO relates to risk. LSE Business Review (25 Apr 2017). Blog Entry.

Bertomeu, Jeremy (2016) CEO pay should factor in market risk, regardless of its effect on their performance. LSE Business Review (17 Feb 2016). Blog Entry.

Beunza, Daniel and Stark, David (2004) Tools of the trade: the socio-technology of arbitrage in a Wall Street trading room. Industrial and Corporate Change, 13 (2). pp. 369-400. ISSN 0960-6491

Beunza, Daniel and Stark, David (2008) Tools of the trade: the socio-technology of arbitrage in a Wall Street trading room. In: Pinch, Trevor and Swedberg, Richard, (eds.) Living in a Material World: Economic Sociology Meets Science and Technology Studies. Inside technology. MIT Press, Cambridge, USA, pp. 253-290. ISBN 9780262662079

Bhaumik, Sumon Kumar and Estrin, Saul and Mickiewicz, Tomasz (2017) Ownership identity, strategy and performance: business group affiliates versus independent firms in India. Asia Pacific Journal of Management, 34 (2). pp. 281-311. ISSN 0217-4561

Bhave, Ajay Gajanan and Conway, Declan and Dessai, Suraje and Stainforth, David A. (2016) Barriers and opportunities for robust decision making approaches to support climate change adaptation in the developing world. Climate Risk Management, 14. pp. 1-10. ISSN 2212-0963

Bhimani, Alnoor (2009) Risk management, corporate governance and management accounting: emerging interdependencies. Management Accounting Research, 20 (1). pp. 2-5. ISSN 1044-5005

Black, Julia and Baldwin, Robert (2012) When risk-based regulation aims low: a strategic framework. Regulation and Governance, 6 (2). pp. 131-148. ISSN 1748-5983

Black, Julia and Baldwin, Robert (2012) When risk-based regulation aims low: approaches and challenges. Regulation and Governance, 6 (1). pp. 2-22. ISSN 1748-5983

Borraz, Olivier and Cabane, Lydie (2016) States of crisis. In: King, D. and Le Gales, Patrick, (eds.) Reconfiguring European States in Crisis. Oxford University Press, Oxford, UK. (In Press)

Bracke, Philippe and Hilber, Christian A. L. and Silva, Olmo (2017) Mortgage debt and entrepreneurship. Journal of Urban Economics. ISSN 0094-1190 (In Press)

Brañas-Garza, Pablo and Galizzi, Matteo M. and Nieboer, Jeroen (2017) Experimental and self-reported measures of risk taking and digit ratio (2D:4D): evidence from a large, systematic study. International Economic Review. ISSN 0020-6598 (In Press)

Breitstein, Lance and Dini, Paolo (2011) A social constructivist analysis of the 2007 banking crisis: building trust and transparency through community currencies. Journal of Banking Regulation, 13 (1). pp. 36-62. ISSN 1745-6452

Bustamante, Maria Cecilia (2015) Strategic investment and industry risk dynamics. Review of Financial Studies, 28 (2). pp. 297-341. ISSN 0893-9454

C

Cabane, Lydie and Revet, Sandrine (2015) La cause des catastrophes: concurrences scientifiques et actions politiques dans un monde transnational. Politix, 3 (111). pp. 47-67. ISSN 0295-2319

Caccioli, Fabio and Kondor, Imre and Papp, Gábor (2015) Portfolio optimization under expected shortfall: contour maps of estimation error. SRC Discussion Paper, No 49. Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Cascino, Stefano (2017) Stock-bond return co-movement and accounting information. Journal of Business Finance and Accounting, 44 (7-8). pp. 1036-1072. ISSN 0306-686X

Charpentier, Caroline J. and Neve, Jan-Emmanuel De and Roiser, Jonathan P. and Sharot, Tali (2016) Models of affective decision-making: how do feelings predict choice? CEP Discussion Paper, No 1408. Centre for Economic Performance, London School of Economics and Political Science, London, UK.

Chen, Zhuoqiong (Charlie) (2017) Removing commissions does not restore impartial advice. Management with Impact (30 Jan 2017). Blog Entry.

Chorti, Arsenia and Papadaki, Katerina and Poor, H. Vincent (2015) Optimal power allocation in block fading channels with confidential messages. IEEE Transactions on Wireless Communications, 14 (9). pp. 752-757. ISSN 1536-1276

Connor, Gregory (2003) Risk management in asset management. In: Korajczyk, Robert A, (ed.) Modern Risk Management : a History. Risk Books, London, pp. 369-382. ISBN 1904339050

Costa-i-Font, Joan and García-Villar, Jaume (2009) Risk attitudes and the demand for private health insurance: the importance of 'captive preferences'. Annals of Public and Cooperative Economics, 80 (4). pp. 499-521. ISSN 1370-4788

Csullag, Balazs and Danielsson, Jon and Macrae, Robert (2016) Why it doesn't make sense to hold bonds. VoxEU.org (27 Jun 2016). Opinion Piece.

Cushman, Mike and Franco, Leonardo and Rosenhead, Jonathan (2002) Problem structuring methods for cross-organizational learning. In: Purdue, D and Stewart, M, (eds.) Understanding Collaboration: International Perspectives on Theory, Method and Practice. Faculty of the Built Environment, University of the West of England, Bristol, UK, pp. 45-51. ISBN 186043 3405

D

Danielsson, Jon and Fouché, Morgane and Macrae, Robert (2016) Cyber risk as systemic risk. VoxEU.org (10 Jun 2016). Opinion Piece.

Danielsson, Jon and Fouché, Morgane and Macrae, Robert (2015) The macro-micro conflict. VoxEU.org (20 Oct 2015). Opinion Piece.

Danielsson, Jon and James, Kevin R. and Valenzuela, Marcela and Zer, Ilknur (2015) Can we prove a bank guilty of creating systemic risk?: a minority report. SRC Discussion Paper, No 47. Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Danielsson, Jon and James, Kevin R. and Valenzuela, Marcela and Zer, Ilknur (2016) Model risk of risk models. Journal of Financial Stability, 23. pp. 79-91. ISSN 1572-3089

Danielsson, Jon and Jorgensen, Bjorn N. and de Vries, Casper G. (2002) Incentives for effective risk management. Journal of Banking and Finance, 26 (7). pp. 1407-1425. ISSN 0378-4266

Danielsson, Jon and Koijen, Ralph S.J. and Laeven, Roger and Perotti, Enrico (2013) Solvency II: three principles to respect. VoxEU.org (21 Oct 2013). Opinion Piece.

Danielsson, Jon and Valenzuela, Marcela and Zer, Ilknur (2015) Volatility, financial crises and Minsky's hypothesis. VoxEU.org (02 Oct 2015). Opinion Piece.

Davies, G.J. and Kendall, G. and Soane, E. and Li, J. and Rocks, S.A. and Jude, S.R. and Pollard, S.J.T. (2014) Regulators as agents: modelling personality and power as evidence is brokered to support decisions on environmental risk. Science of the Total Environment, 466-67. pp. 74-83. ISSN 0048-9697

Davies, G.J. and Kendall, G. and Soane, Emma and Li, J. and Charnley, F. and Pollard, S. J. T. (2010) Regulators as ‘agents’: power and personality in risk regulation and a role for agent-based simulation. Journal of Risk Research, 13 (8). pp. 961-982. ISSN 1366-9877

Di Bucchianico, Alessandro and Wynn, Henry (2012) Editorial: quality and reliability engineering international special issue. Quality and Reliability Engineering International, 28 (5). p. 497. ISSN 0748-8017

Dickmann, Petra (2013) Introducing a new risk communication paradigm. European Journal of Public Health, 23 (1 S). p. 112. ISSN 1101-1262

Dickmann, Petra (2009) Riskio-und Krisenkommunikation (Risk and crisis communication). In: Luiz, Thomas and Lackner, Christian and Peter, Hanno and Schmidt, Jörg, (eds.) Medizinische Gefahrenabwehr: Katastrophenmedizin und Krisenmanagement Im BevöLkerungsschutz (Medical Security: Disaster Medicine. Urban & Fischer Verlag, München, Deutschland, pp. 457-462. ISBN 9783437245909

Dickmann, Petra (2011) Tenacity: the 'natural' decontamination of bacteria and toxins = Tenazität: die „natürliche Dekontamination“ von Bakterienund Toxinen. In: Proceedings: Biologische Gefahren in Deutschland. Bundesamt für Bevölkerungsschutz und Katastrophenhilfe, Bonn, Germany, pp. 321-322. ISBN 9783939347057

Dickmann, Petra and Brockmann, S. and Ebert, B. and Wildner, M. (2007) Die Angst der Gesellschaft vor Infektionen (The social fear of infection). In: Sasse, J. and Biederbick, W. and Brockmann, S. and Hermann, M. and Preuss, B. and Schreiber, J. and Uhlenhaut, C., (eds.) Biologische Gefahren I: Handbuch Zum BevöLkerungsschutz. Bundesamt für Bevölkerungsschutz und Katastrophenhilfe/Robert Koch-Institut, Bonn, pp. 342-352. ISBN 9783939347064

Dickmann, Petra and Drosten, Christain and Becker, Stephan (2012) "Wir müssen die Risiken aushalten". Frankfurter Allgemeine Zeitung (18 Feb 2012). Website.

Dickmann, Petra and Sasse, Julia and Preuss, Bernhard and Biederbick, Walter (2011) Introduction = Einleitung. In: Proceedings: Biologische Gefahren in Deutschland. Bundesamt für Bevölkerungsschutz und Katastrophenhilfe, Bonn, Germany, pp. 13-15. ISBN 9783939347057

Dickmann, Petra and Wildner, M. and Dombrowsky, W. (2007) Risikokommunikation (Risk communication). In: Sasse, J. and Biederbick, W. and Brockmann, S. and Hermann, M. and Preuss, B. and Schreiber, J. and Uhlenhaut, C., (eds.) Biologische Gefahren I: Handbuch Zum BevöLkerungsschutz. Bundesamt für Bevölkerungsschutz und Katastrophenhilfe/Robert Koch-Institut, Bonn, pp. 323-341. ISBN 9783939347064

Dickmann, Petra and Wildner, Manfred and Dombrowski, Wolf (2011) Escalation levels of risk communication = Szenarien biologischer Gefahrenlagen – Eskalationsstufen der Risikokommunikation. In: Proceedings: Biologische Gefahren in Deutschland. Bundesamt für Bevölkerungsschutz und Katastrophenhilfe, Bonn, Germany, pp. 115-124. ISBN 9783939347057

Dietz, Simon (2014) Climate change mitigation as catastrophic risk management. Environment: Science and Policy for Sustainable Development, 56 (6). pp. 28-36. ISSN 0013-9157

Dietz, Simon and Gollier, Christian and Kessler, Louise (2017) The climate beta. Journal of Environmental Economics and Management. ISSN 0095-0696 (In Press)

Dietz, Simon and Morton, Alec (2009) Strategic appraisal of environmental risks: a contrast between the UK’s Stern Review on the Economics of Climate Change and its Committee on Radioactive Waste Management. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment, 5. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment, London, UK.

Dietz, Simon and Morton, Alec (2011) Strategic appraisal of environmental risks: a contrast between the United Kingdom's Stern Review on the Economics of Climate Change and its Committee on Radioactive Waste Management. Risk Analysis, 31 (1). pp. 129-142. ISSN 0272-4332

Dietz, Simon and Walker, Oliver (2017) Ambiguity and insurance: capital requirements andpremiums. Journal of Risk and Insurance. ISSN 0022-4367

Dodds, Anneliese (2005) Vive la différence? regulating higher education institutions in the UK and France. Risk and Regulation, 10 (4). ISSN 1473-6004

Dunleavy, Patrick and Gilson, Christopher and Bastow, Simon and Tinkler, Jane (2009) The National Audit Office, the Public Accounts Committee and the risk landscape in UK public policy. URN 09/1423. The Risk and Regulation Advisory Council, London, UK.

Düll, Robert and König, Felix and Ohls, Jana (2017) On the exposure of insurance companies to sovereign risk − portfolio investments and market forces 1. Journal of Financial Stability, 31. pp. 93-106. ISSN 1572-3089

de Meza, David and Webb, David C. (2017) False diagnoses: pitfalls of testing for asymmetric information in insurance markets. The Economic Journal. ISSN 0013-0133

E

Ebert, B. and Dickmann, Petra (2007) Einführung (Introduction). In: Sasse, J. and Biederbick, W. and Brockmann, S. and Hermann, M. and Preuss, B. and Schreiber, J. and Uhlenhaut, C., (eds.) Biologische Gefahren I: Handbuch Zum BevöLkerungsschutz. Bundesamt für Bevölkerungsschutz und Katastrophenhilfe/Robert Koch-Institut, Bonn, pp. 320-322. ISBN 9783939347064

Elliott, Rebecca (2017) It's not a lack of information that stops many Americans from adapting to flood risks; it's a lack of cash. USApp - American Politics and Policy Blog (07 Sep 2017). Blog Entry.

Ellis, Andrew and Piccione, Michele (2017) Correlation misperception in choice. American Economic Review, 107 (4). pp. 1264-1292. ISSN 0002-8282

Ellis, Margaret and Mitleton-Kelly, Eve (2014) Socionical: crowd dynamics in emergencies. In: LSE Research Festival 2014, 8 May 2014, The London School of Economics, London, UK. (Unpublished)

F

Faia, Ester and Ottaviano, Gianmarco I. P. (2017) Global banking: Risk taking and competition. CEP Discussion Papers, CEPDP1471. Centre for Economic Performance, London School of Economics and Political Science, London, UK.

Faia, Ester and Ottaviano, Gianmarco I. P. and Sanchez Arjona, Irene (2017) International expansion and riskiness of Banks. CEP Discussion Papers, CEPDP1481. Centre for Economic Performance, London School of Economics and Political Science, London, UK.

Faure-Grimaud, Antoine and Laffont, Jean-Jacques and Martimort, David (2002) Risk averse supervisors and the efficiency of collusion. Contributions to Theoretical Economics, 2 (1). ISSN 1534-5971

Favilukis, Jack and Lin, Xiaoji (2013) Long run productivity risk and aggregate investment. Journal of Monetary Economics, 60 (6). pp. 737-751. ISSN 0304-3932

Fenton-O'Creevy, Mark and Nicholson, Nigel and Soane, Emma and Willman, Paul (2004) Traders: risks, decisions and management in financial markets. . Oxford University Press, Oxford, UK. ISBN 9780199269488

Fenton-O'Creevy, Mark and Soane, Emma (2001) The subjective perception of risk. In: Pickford, James, (ed.) Mastering Risk Volume 1: Concepts. Financial Times. Prentice Hall, London, UK, pp. 25-30. ISBN 9780273653790

Ferrario, Alessandra and Kanavos, Panos (2013) The LSE Summit: risk sharing and managed entry agreements. Health and Social Care at LSE (20 Nov 2013). Blog Entry.

Ferreira, Daniel and Ornelas, Emanuel and Turner, John L. (2007) Unbundling ownership and control. ECGI Finance Working Paper, 172/2007. European Corporate Governance Institute.

Ferretti, Valentina and Guney, Sule and Montibeller, Gilberto and Winterfeldt, Detlof von (2016) Testing best practices to reduce the overconfidence bias in multi-criteria decision analysis. Proceedings of the 49th Annual Hawaii International Conference on System Sciences. pp. 1547-1555. ISSN 1530-1605

Fireman, Ken (2017) How to avoid becoming the next late-night punchline. LSE Business Review (21 Jul 2017). Blog Entry.

Foellmi, Reto and Legge, Stefan and Schmid, Lukas (2016) In sports, as in business, limited attention affects risk-taking behaviour. LSE Business Review (21 Jun 2016). Blog Entry.

G

Galizzi, Matteo M. and Harrison, Glenn and Miraldo, Marisa (2017) Experimental methods and behavioural insights in health economics: estimating risk and time preferences in health. In: Baltagi, Badi and Moscone, Francesco, (eds.) Health Econometrics in Contributions to Economic Analysis. Emerald Publishing, Bingley, UK. (In Press)

Galizzi, Matteo M. and Miraldo, Marisa and Stavropoulou, Charitini (2016) In sickness but not in wealth: field evidence on patients’ risk preferences in the financial and health domain. Medical Decision Making, 36 (4). pp. 503-517. ISSN 0272-989X

Galizzi, Matteo M. and Miraldo, Marisa and Stavropoulou, Charitini and van der Pol, Marjon (2016) Doctor–patient differences in risk and time preferences: a field experiment. Journal of Health Economics, 50. pp. 171-182. ISSN 0167-6296

Gallagher, Justin (2017) Insurance and government assistance means that homeowners often have less debt following a flood disaster. USApp - American Politics and Policy Blog (07 Sep 2017). Blog Entry.

Garicano, Luis and Steinwender, Claudia (2016) Survive another day: using changes in the composition of investments to measure the cost of credit constraints. Review of Economics and Statistics, 98 (5). pp. 913-924. ISSN 0034-6535

Gasparini, Mauro and Margaria, Gabriella and Wynn, Henry P. (2004) Dynamic risk control for project development. Statistical Methods & Applications, 13 (1). pp. 73-88. ISSN 1618-2510

Gibbs, Michael J and Merchant, Kenneth A and Van der Stede, Wim and Vargus, Mark E (2009) Performance measure properties and incentive system design. Industrial Relations: a Journal of Economy and Society, 48 (2). pp. 237-264. ISSN 1468-232X

Gigerenzer, Gerd and Hertwig, Ralph and van den Broek, Eva and Fasolo, Barbara and Katsikopoulos, Konstantinos V. (2005) A 30% chance of rain tomorrow: how does the public understand probabilistic weather forecasts? Risk Analysis, 25 (3). pp. 623-629. ISSN 0272-4332

Gilad, Sharon (2008) Is transparency good for consumers?: assessing the proposals for publishing comparative data for financial services. Risk and Regulation, Winter. ISSN 1473-6004

Golubeva, Evgenia (2015) When managing risk, overconfident managers don’t always follow the fundamentals. LSE Business Review (18 Nov 2015). Blog Entry.

H

Hall, Matthew and Mikes, Anette and Millo, Yuval (2015) How do risk managers become influential?: a field study of toolmaking in two financial institutions. Management Accounting Research, 26. pp. 3-22. ISSN 1044-5005

Hanger, Susanne and Bayer, Joanne and Surminski, Swenja and Nenciu, Cristina and Lorant, Anna and Ionescu, Radu and Patt, Anthony (2017) Insurance, public assistance and household flood risk reduction: a comparative study of Austria, England and Romania. Risk Analysis. ISSN 0272-4332

Hanna, George and Phillips, Lawrence D. and Priest, Olivier and Ni, Zhifang (2010) Improving the safety of nasogastric feeding tube insertion: Developing guidelines for the safe verification of feeding tube position - a decision analysis approach. Imperial College London, London.

Herweijer, Celine and Ranger, Nicola and Ward, Robert E. T. (2009) Adaptation to climate change: threats and opportunities for the insurance industry. The Geneva Papers on Risk and Insurance Issues and Practice, 34 (3). pp. 360-380. ISSN 1018-5895

Heyvaert, Veerle (2010) Regulating chemical risk: REACH in a global governance perspective. In: Eriksson, Johan and Gilek, Michael and Rudén, Christina, (eds.) Regulating Chemical Risks: European and Global Challenges. Springer, Dordrecht, The Netherlands, pp. 217-238. ISBN 9789048194278

Hood, Christopher and Rothstein, H. (1999) Institutions and risk management: problem solvers or blame-shifters. In: Hubert, P. and Mays, C., (eds.) Risk Analysis: Opening the Process. Institut de Protection et de Surete Nucleaire, Paris, France, pp. 13-22.

Hood, Christopher and Rothstein, Henry and Baldwin, Robert and Rees, Judith and Spackman, Michael (1999) Where risk society meets the regulatory state: exploring variations in risk regulation regimes. Risk Management, 1 (1). pp. 21-34. ISSN 1460-3799

Hood, Christopher and Rothstein, Henry and Spackman, Michael and Rees, Judith and Baldwin, Robert (1999) Explaining risk regulation regimes: exploring the 'minimal feasible response' hypothesis. Health, Risk and Society, 1 (2). pp. 151-166. ISSN 1369-8575

Horlick-Jones, Tom and Rosenhead, Jonathan (2013) Ambiguity and therapy in risk management. EURO Journal on Decision Processes, 1 (3-4). pp. 263-283. ISSN 2193-9438

Horlick-Jones, Tom and Rosenhead, Jonathan and Georgiou, Ion and Ravetz, Jerry and Löfstedte, Ragnar (2001) Decision support for organisational risk management by problem structuring. Health, Risk and Society, 3 (2). pp. 141-165. ISSN 1369-8575

Hsu, Carol and Backhouse, James and Silva, Leiser (2014) Institutionalizing operational risk management: an empirical study. Journal of Information Technology, 29 (1). pp. 59-72. ISSN 0268-3962

Hughes, Diana and Waddingham, Ed, A., J. and Mt-Isa, Shahrul and Goginsky, Alesia and Chan, Edmond and Downey, Gerald and Hallgreen, Christine E. and Hockley, Kimberley S. and Juhaeri, Juhaeri and Lieftucht, Alfons and Metcalfe, Marilyn, A. and Noel, Rebecca, A. and Phillips, Lawrence D. and Ashby, Deborah and Micaleff, Alain (2014) IMI-PROTECT benefit-risk grouprecommendations report:recommendations for the methodology andvisualisation techniques to be used in theassessment of benefit and risk of medicines. PROTECT Consortium, London.

Hutter, Bridget M. (2010) Anticipating risks and organising risk regulation. . Cambridge University Press, Cambridge, UK. ISBN 9780521193092

Hutter, Bridget M. (2010) Conclusion: important themes and future research directions. In: Hutter, Bridget M., (ed.) Anticipating Risks and Organising Risk Regulation. Cambridge University Press, Cambridge, UK. ISBN 9780521193092

Hutter, Bridget M. (2010) Introduction: Anticipating risk and organising risk regulation: current dilemmas. In: Hutter, Bridget M., (ed.) Anticipating Risks and Organising Risk Regulation. Cambridge University Press, Cambridge, UK. ISBN 9780521193092

Hutter, Bridget M. (2011) Managing food safety and hygiene: governance and regulation as risk management. . Edward Elgar Publishing, Cheltenham, UK. ISBN 9780857935700

Hutter, Bridget M. (2011) Negotiating social, economic and political environments: compliance with regulation within and beyond the state. In: Parker, Christine and Nielsen, Vibeke L., (eds.) Explaining Compliance: Business Responses to Regulation. Edward Elgar, Cheltenham, UK. ISBN 9781848448858

Hutter, Bridget M. (2005) Risk management and governance. In: Eliadis, Pearl and Hill, Margaret M. and Howlett, Michael, (eds.) Designing Government: From Instruments to Governance. McGill-Queen's University Press, Montreal, pp. 303-321. ISBN 9780773528451

Hutter, Bridget M. (2011) Understanding the new regulatory governance: business perspectives. Law and Policy, 33 (4). pp. 459-476. ISSN 0265-8240

Hutter, Bridget M. (2010) Visualizations of risk and governance: some observations on change. In: Chan, Raymond K.H. and Takahashi, Mutsuko and Wang, Lillian Lih-rong, (eds.) Risk and Public Policy in East Asia. Ashgate, Farnham, UK, pp. 27-44. ISBN 9780754678953

Hutter, Bridget M. (2005) 'Ways of seeing': understandings of risk in organizational settings. In: Hutter, Bridget M. and Power, Michael K, (eds.) Organizational Encounters With Risk. Cambridge University Press, Cambridge, pp. 67-91. ISBN 0521846803

Hutter, Bridget M. (2005) The attractions of risk-based regulation: accounting for the emergence of risk ideas in regulation. CARR Discussion paper, DP 33. Centre for Analysis of Risk and Regulation, London School of Economics and Political Science, London, UK. ISBN 0753018608

Hutter, Bridget M. (2016) A risk regulation perspective on regulatory excellence. In: Coglianese, Cary, (ed.) Achieving Regulatory Excellence. Brookings Institution Press, Washington, USA, pp. 101-114. ISBN 9780815728429

Hutter, Bridget M. (2009) The role of regulation in mitigating the risks of natural disasters. In: Kunreuther, Howard and Useem, Michael, (eds.) Learning From Catastrophes: Strategies for Reaction and Response. Wharton School Publishing, Upper Saddle River, USA, pp. 121-138. ISBN 9780137044856

Hutter, Bridget M. and Jones, Clive J (2007) From government to governance: external influences on business risk management. Regulation and Governance, 1 (1). pp. 27-45. ISSN 1748-5991

J

Jenkins, Katie and Surminski, Swenja and Hall, Jim and Crick, Florence (2016) Surface water flood risk and management strategies for London: an agent-based model approach. E3S Web of Conferences, 7. pp. 1-10. ISSN 2267-1242

Jorgensen, Bjorn N. and Kirschenheiter, Michael T. (2010) Discretionary disclosures to risk-averse traders. American Accounting Association, San Francisco, USA.

K

Kar, Sohini (2017) Relative indemnity: risk, insurance, and kinship in Indian microfinance. Journal of the Royal Anthropological Institute, 23 (2). pp. 302-319. ISSN 1359-0987

King, Karin A. (2015) Global talent management: introducing a strategic framework and multiple-actors model. Journal of Global Mobility: The Home of Expatriate Management Research, 3 (3). pp. 273-288. ISSN 2049-8799

King, Karin A. (2016) The talent deal and journey: understanding the employee response to talent identification over time. Employee Relations, 38 (1). pp. 94-111. ISSN 0142-5455

Kircher, Philipp and Ludwig, Sandra and Sandroni, Alvaro (2009) Fairness: a critique to the utilitarian approach. SFB/TR 15 discussion paper, SFB TR 15 / GESY, Bonn, Germany.

Komarova, Tatiana (2013) A new approach to identifying generalized competing risks models with application to second-price auctions. Quantitative Economics, 4 (2). pp. 269-328. ISSN 1759-7323

Konstantakis, Konstantinos N. and Michaelides, Panayotis G. (2017) Does technology cause business cycles in the USA? A Schumpeter-inspired approach. Structural Change and Economic Dynamics, 43. pp. 15-26. ISSN 0954-349X

Konstantinidi, Theodosia and Pope, Peter F. (2015) Forecasting risk in earnings. Contemporary Accounting Research. ISSN 0823-9150

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Luczak, Malwina J. (2002) Risk management for traffic safety control. In: Workshop on Industrial Applications, 8-12 Jul 2002, Hong Kong. (Unpublished)

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Micaleff, Alain and Callreus, Tornbjorn and Phillips, Lawrence D. and Hughes, Diana and Hockley, Kimberley and Wang, Nan and Luciani, David (2013) IMI work package 5: report 1:b:iii benefit - riskwave 1 case study report:Raptiva® (efalizumab). PROTECT Consortium, London.

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Mt-Isa, Shahrul and Hallgreen, Christine E. and Wang, Nan and Callréus, Torbjörn and Genov, Georgy and Hirsch, Ian and Hobbiger, Stephen F. and Hockley, Kimberley S. and Luciani, Davide and Phillips, Lawrence D. and Quartey, George and Sarac, Sinan B. and Stoeckert, Isabelle and Tzoulaki, Ioanna and Micaleff, Alain and Ashby, Deborah (2014) Balancing benefit and risk of medicines: a systematic review and classification of available methodologies. Pharmacoepidemiology and Drug Safety, 23 (7). pp. 667-678. ISSN 1053-8569

Mt-Isa, Shahrul and Hallgreen, Christine E. and Wang, Nan and Callréus, Torbjörn and Genov, Georgy and Hirsch, Ian and Hobbiger, Stephen F. and Hockley, Kimberley S. and Luciani, Davide and Phillips, Lawrence D. and Quartey, George and Sarac, Sinan B. and Stoeckert, Isabelle and Tzoulaki, Ioanna and Micaleff, Alain and Ashby, Deborah (2014) Balancing benefit and risk of medicines: a systematic review and classification of available methodologies. Pharmacoepidemiology and Drug Safety, 23 (7). pp. 667-678. ISSN 10538569

Mt-Isa, Shahrul and Hallgreen, Christine, E. and Asiimwe, Alex and Downey, Gerry and Genov, Georgy and Hermann, Richard and Hughes, Diana and Lieftucht, Alfons and Noel, Rebecca and Peters, Ruth and Phillips, Lawrence D. and Shepherd, Susan and Micaleff, Alain and Ashby, Deborah and Tzoulak, Ioanna (2013) Review of visualisation methods for therepresentation of benefit-risk assessment ofmedication: stage 2 of 2. PROTECT Consortium, London.

Mt-Isa, Shahrul and Peters, Ruth and Phillips, Lawrence D. and Chan, Kakit and Hockley, Kimberley S. and Wang, Nan and Ashby, Deborah and Tzoulak, Ioanna (2013) Review of visualisation methods for therepresentation of benefit-risk assessment ofmedication: Stage 1 of 2. PROTECT Consortium, London.

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Mysiak, J. and Surminski, Swenja and Thieken, A. and Mechler, R. and Aerts, J. (2015) Brief communication: Sendai framework for disaster risk reduction – success or warning sign for Paris? Natural Hazards and Earth System Sciences Discussions, 3 (6). pp. 3955-3966. ISSN 2195-9269

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Ozdenoren, Emre and Yuan, Kathy (2015) Endogenous contractual externalities. SRC Discussion Paper, No 46. Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

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Palermo, Tommaso (2017) Risk and performance management: two sides of the same coin? In: Woods, Margaret and Linsley, Philip, (eds.) The Routledge Companion to Accounting and Risk. Routledge companions in business, management and accounting. Routledge, Abingdon, UK, pp. 137-149. ISBN 9781138860124

Palermo, Tommaso (2016) Technoculture: risk reporting and analysis at a large airline. In: Power, Michael, (ed.) Riskwork: Essays on the Organizational Life of Risk Management. Oxford University Press, Oxford, UK, pp. 150-171. ISBN 9780198753223

Palermo, Tommaso (2016) Why airplanes take off and land safely despite all the risks. LSE Business Review (05 Jul 2016). Blog Entry.

Palermo, Tommaso (2016) The risk culture in financial institutions needs fixing, but how? LSE Business Review (19 Dec 2016). Blog Entry.

Palermo, Tommaso and Power, Michael and Ashby, Simon (2017) Navigating institutional complexity: the production of risk culture in the financial sector. Journal of Management Studies, 54 (2). pp. 154-181. ISSN 1467-6486

Pearce, Jone L. and Huang, Laura (2016) Gut feeling plays an important role in early-stage investors’ decisions. LSE Business Review (11 May 2016). Blog Entry.

Phillips, Lawrence D. (2013) Benefit-risk modeling of medicinal products: methods and applications. In: Sashegyi, Andreas and Felli, James and Noel, Rebecca, (eds.) Benefit-Risk Assessment in Pharmaceutical Research and Development. CRC Press, Boca Raton, pp. 59-96. ISBN 9781439867945

Phillips, Lawrence D. and Amzal, Billy and Asiimwe, Alex and Chan, Edmond and Chen, Chen and Hughes, Diana and Juhaeri, Juhaeri and Micaleff, Alain and Mt-Isa, Shahrul and Noel, Becky and Shepherd, Susan and Wang, Nan (2013) IMI work package 5: report 2:b:ii benefit - riskwave 2 case study report: Rosiglitazone. PROTECT Consortium, London.

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Power, Michael (2005) Organizational responses to risk: the rise of the Chief Risk Officer. In: Hutter, Bridget and Power, Michael, (eds.) Organizational Encounters With Risk. Cambridge University Press, UK, pp. 132-148. ISBN 0521846803

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Power, Michael (2012) The managerialization of security. In: Svedberg Helgesson, Karin and Mörth, Ulrika, (eds.) Securitization, Accountability and Risk Management. PRIO new security studies. Routledge, Abingdon, UK, pp. 70-87. ISBN 9780415680141

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Power, Michael (2004) The risk management of everything: rethinking the politics of uncertainty. . Demos, London, UK. ISBN 1841801275

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Priest, Oliver and Phillips, Lawrence D. and Hanna, George B. (2014) Risks of using bedside tests to verify nasogastric tube position in adult patients. European Medical Journal Gastroenterology, 3. pp. 49-56. ISSN 2054-6203

Pérez-Nordtvedt, Liliana and Khavul, Susanna and Harrison, David A. and McGee, Jeffrey E. (2014) Adaptation to temporal shocks: influences of strategic interpretation and spatial distance. Journal of Management Studies, 51 (6). pp. 869-897. ISSN 1467-6486

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Rocks, Sophie A. and Schubert, Iljana and Soane, Emma and Black, Edgar and Muckle, Rachel and Petts, Judith and Prpich, George and Pollard, Simon J. (2017) Engaging with comparative risk appraisals: public views on policy priorities for environmental risk governance. Risk Analysis, 37 (9). pp. 1683-1692. ISSN 0272-4332

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Scott, Susan V. and Perry, Nicholas (2012) The enactment of risk categories: the role of information systems in organizing and re-organizing risk management practices in the energy industry. Information Systems Frontiers, 14 (2). pp. 125-141. ISSN 1387-3326

Scott, Susan V. and Walsham, Geoff (2002) Banking on trust: managing reputation risk in financial service organizations. LSE Working paper series, 117. Department of Information Systems, London School of Economics and Political Science, London, UK.

Scott, Susan V. and Walsham, Geoff (2004) The broadening spectrum of reputation risk in organizations: banking on risk and trust relationships. Working paper series, 130. Department of Information Systems, London School of Economics and Political Science, London, UK.

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Sgouropoulos, Nikolaos and Yao, Qiwei and Yastremiz, Claudia (2013) Matching quantiles estimation. The London School of Economics and Political Science, London, UK. (Unpublished)

Silva, Leiser and Hsu, Carol and Backhouse, James and McDonnell, Aidan (2016) Resistance and power in a security certification scheme: the case of c:cure. Decision Support Systems, 92. pp. 68-78. ISSN 0167-9236

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Skinner, Chris J. and Elliot, M. J. (2002) A measure of disclosure risk for microdata. Journal of the Royal Statistical Society. Series B: Statistical Methodology, 64 (4). pp. 855-867. ISSN 1369-7412

Soane, Emma and Schubert, Iljana and Challenor, Peter and Lunn, Rebecca and Narendran, Sunitha and Pollard, Simon (2010) Flood perception and mitigation: The role of severity, agency, and experience in the purchase of flood protection, and the communication of flood information. Environment and Planning A, 42 (12). pp. 3023-3038. ISSN 0308-518X

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Stark, David and Beunza, Daniel (2003) Outils de marché: socio-technologie de l’arbitrage dans une salle de marché à Wall Street. Reseaux, 2 (122). pp. 63-109. ISSN 0751-7971

Surminski, Swenja and Eldridge, Jillian (2015) Flood insurance in England: an assessment of the current and newly proposed insurance scheme in the context of rising flood risk. Journal of Flood Risk Management. ISSN 1753-318X

Surminski, Swenja and Oramas-Dorta, Delioma (2013) Flood insurance schemes and climate adaptation in developing countries. International Journal of Disaster Risk Reduction, 7. pp. 154-164. ISSN 2212-4209

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Thimann, Christian (2016) Insurance and systemic risk: no easy conclusions. VoxEU.org (31 May 2016). Opinion Piece.

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Van der Stede, Wim A. (2009) Enterprise governance: risk and performance management through the business cycle. Cma Management (May 20). pp. 24-27. ISSN 1207-5183

Vollenweider, Xavier (2010) Managing climate risk and market risk in the Irish agriculture. In: Relating research to reality: interdisciplinary ideas for a changing world. LSE PhD student poster exhibition, 26 May 2010, London School of Economics and Political Science, London, UK. (Unpublished)

Vollenweider, Xavier and Di Falco, Salvatore and O’Donoghue, Cathal (2011) Risk preferences and voluntary agri-environmental schemes: does risk aversion explain the uptake of the Rural Environment Protection Scheme? Grantham Research Institute on Climate Change and the Environment working papers, 48. Grantham Research Institute on Climate Change and the Environment, London, UK.

Vollenweider, Xavier and Di Falco, Salvatore and O’Donoghue, Cathal (2011) The impact of risk on inequality: evidence from the Irish agricultural sector. Grantham Research Institute on Climate Change and the Environment working papers, 47. Grantham Research Institute on Climate Change and the Environment, London, UK.

van Amsterdam, J. and Nutt, D. and Phillips, L.D. and van den Brink, W. (2015) European rating of drug harms. Journal of Psychopharmacology, 29 (6). pp. 655-660. ISSN 0269-8811

van Amsterdam, Jan and Phillips, Lawrence D. and Henderson, Graeme and Bell, James and Bowden-Jones, Owen and Hammersley, Richard and Ramsey, John and Taylor, Polly and Dale-Perera, Annette and Melichar, Jan and van den Brink, Wim and Nutt, David (2015) Ranking the harm of non-medically used prescription opioids in the UK. Regulatory Toxicology and Pharmacology, 73 (3). pp. 999-1004. ISSN 0273-2300

van der Graaf, Judy (2013) Risk regulation at transnational level: understanding the role of non-state actors. Researching Sociology (20 Dec 2013). Blog.

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Wennberg, David E. and Sharp, Sandra M. and Bevan, Gwyn and Skinner, Jonathan S. and Gottlieb, Daniel J. and Wennberg, John E. (2014) A population health approach to reducing observational intensity bias in health risk adjustment: cross sectional analysis of insurance claims. British Medical Journal, 348 (g2392). pp. 1-10. ISSN 0959-8138

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Wong, Shiu Fung and Tong, Howell and Siu, Tak Kuen and Lu, Zudi (2017) A new multivariate nonlinear time series model for portfolio risk measurement: the threshold copula-based TAR approach. Journal of Time Series Analysis, 38 (2). pp. 243-265. ISSN 0143-9782

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Zhivitskaya, Maria (2014) Book review: Risk: a study of its origins, history and politics by Matthias Beck and Beth Kewell. LSE Review of Books (22 Mar 2014). Blog Entry.

This list was generated on Thu Oct 19 19:18:22 2017 BST.