Framing risk governance

被引:16
作者
Stein, Volker [1 ]
Wiedemann, Arnd [2 ]
Bouten, Christiane [2 ]
机构
[1] Univ Siegen, Dept Human Resource Management & Org Behav, Siegen, Germany
[2] Univ Siegen, Dept Finance & Banking, Siegen, Germany
来源
MANAGEMENT RESEARCH REVIEW | 2019年 / 42卷 / 11期
关键词
Framing; Business model; Strategic management; Risk management; Risk governance; MANAGEMENT; EVOLUTION; STRATEGY;
D O I
10.1108/MRR-01-2019-0042
中图分类号
C93 [管理学];
学科分类号
12 ; 1201 ; 1202 ; 120202 ;
摘要
Purpose The purpose of this paper is to apply the concept of framing in the field of risk governance and risk management research. Design/methodology/approach A five-constituent approach to framing - cognitive, strategic, action, emotional and institutional framing - is applied to contrastively analyze the multifaceted character of the two concepts of risk governance and risk management. Findings This paper analyzes the multifaceted utilization of risk governance framing and the conscious demarcation between risk governance and risk management. Risk governance framing strengthens the proactive control of strategic risks with regard to business model adaptation to changing risk landscapes. The verbal imagery of risk governance already sets the agenda for the sustainability-oriented as well as value-oriented steering of the risks of a business model. Following the analysis of the different framing areas, propositions are presented. Originality/value Although framing is applied in various academic disciplines, there is limited research relating to corporate risks. While risk governance provides companies with a concept to ensure the sustainability of their business models in the complex risk landscape, the related framing brings the appropriate interpretation and the deliberate tone into focus.
引用
收藏
页码:1224 / 1242
页数:19
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