Sustainable Development Risks and Risk Management: A Systemic View from the Positions of Economics and Law
暫譯: 可持續發展風險與風險管理:從經濟學與法律的系統性視角
Popkova, Elena G.
相關主題
商品描述
This book is devoted to a systemic study of socio-economic development risks arising in the Decade of Action, as well as the prospects for risk management in support of sustainable development. It aims to overcome fragmentary consideration of risks in the existing literature through their comprehensive coverage and the establishment of their interconnections from the perspective of sustainable development.
The novelty of this book is that it provides a comprehensive accounting of socio-economic development risks in the Decade of Action, as well as a rethinking of these risks from a sustainable development perspective. The book also opens up the possibility of the most comprehensive and effective risk management in support of sustainable development. The practical relevance of the book stems from the fact that it describes and discusses practical experience in detail and accompanies the theoretical material with numerous case studies, including cases and frameworks with extensive coverage of international best practices.
The book is intended for scholars, for whom the book forms a systemic scientific view of the risks of socio-economic development arising in the Decade of Action, as well as the prospects for risk management in support of sustainable development. The book is also of interest to practitioners, for whom it offers practical advice on risk management at all levels of the economy for sustainable development. Many examples from different countries make the book attractive to a wide international audience. The book is of particular interest to readers from Russia.
商品描述(中文翻譯)
本書專注於系統性研究在行動十年中出現的社會經濟發展風險,以及支持可持續發展的風險管理前景。它旨在克服現有文獻中對風險的片面考量,通過全面覆蓋風險並從可持續發展的角度建立其相互聯繫。
本書的創新之處在於,它提供了對行動十年中社會經濟發展風險的全面記錄,以及從可持續發展的角度重新思考這些風險的方式。本書還開啟了支持可持續發展的最全面和有效的風險管理的可能性。本書的實用性源於其詳細描述和討論實踐經驗,並用大量案例研究伴隨理論材料,包括涵蓋國際最佳實踐的案例和框架。
本書旨在為學者提供系統性的科學觀點,探討在行動十年中出現的社會經濟發展風險及其支持可持續發展的風險管理前景。本書對實務工作者也具有吸引力,因為它提供了針對可持續發展的經濟各層級風險管理的實用建議。來自不同國家的許多例子使本書對廣泛的國際讀者群具有吸引力。本書對來自俄羅斯的讀者尤其具有特別的吸引力。
作者簡介
Elena G. Popkova is a Doctor of Science (Economics) and the founder and president of the Institute of Scientific Communications (Russia), as well as the professor of the Peoples' Friendship University of Russia (RUDN University), Moscow, Russia. Her scientific interests include the theory of economic growth, sustainable development, globalization, humanization of economic growth, emerging markets, social entrepreneurship, and the digital economy and Industry 4.0. Elena G. Popkova organizes Russian and international scientific and practical conferences and is the editor and author of collective monographs, as well as the author of the book "Advanced Issues in the Green Economy and Sustainable Development in Emerging Market Economies" which was published online by Cambridge University. She serves as an editor of international scientific journals, is the specialty chief editor for "Economics of Climate Change - Frontiers in Environmental Economics", Frontiers Publishing. Elena G. Popkova has published more than 300 works in Russian and foreign peer-reviewed scientific journals and books.
作者簡介(中文翻譯)
艾蓮娜·G·波普科娃是科學博士(經濟學),同時也是俄羅斯科學傳播研究所的創始人和院長,以及俄羅斯人民友誼大學(RUDN University)教授,位於俄羅斯莫斯科。她的研究興趣包括經濟增長理論、可持續發展、全球化、經濟增長的人性化、新興市場、社會企業家精神,以及數位經濟和工業4.0。艾蓮娜·G·波普科娃組織俄羅斯及國際科學與實踐會議,並擔任集體專著的編輯和作者,還是《新興市場經濟中的綠色經濟與可持續發展的進階議題》一書的作者,該書由劍橋大學在線出版。她擔任國際科學期刊的編輯,並是《氣候變遷經濟學 - 環境經濟學前沿》的專題主編,該期刊由Frontiers Publishing出版。艾蓮娜·G·波普科娃在俄文和外文的同行評審科學期刊及書籍上發表了300多篇作品。