Tag Archive for: risk management

Renze Munnik’s column in the Financial Investigator is about risk governance as symptom control, including the deficit of risk management, incidents, and critical reports.

Renze Munnik’s column in the Financial Investigator is about taking financial risks to achieve returns and minimizing non-financial risks.

Renze Munnik’s column in the Financial Investigator is about saving the status quo and crises as opportunities to recover the market, a sector, or society.

Renze Munnik’s column in the Financial Investigator is about the relation between the three lines of the 3LoD model, including the boundaries and the fulfilment of the second line.