From Risk to Resilience: Why Risk Models Fail and Why Resilience Is a Smarter Investment in an Age of Uncertainty, (Hardcover)

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Management number 238811905 Release Date 2026/07/11 List Price US$22.00 Model Number 238811905
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<em>From Risk to Resilience</em> challenges how decisions are made in an era defined not only by climate disruption, but by systemic uncertainty. Traditional risk models rely on historical data and stable assumptions. Yet across infrastructure, financial markets, and national systems, these foundations are breaking down, creating a widening gap between modeled risk and real-world uncertainty. Sharron McPherson introduces The Resilience Method(TM), a decision-grade framework that enables governments, investors, and infrastructure leaders to assess whether systems, assets, and communities will remain viable over time. Moving beyond risk mitigation, she reframes resilience as a strategic discipline for operating under uncertainty. Drawing on three decades of experience across finance, law, and policy, and fieldwork across five continents, she connects complex risk signals to real-world decisions. This is a practical framework for navigating volatility, allocating capital with greater confidence, and building systems that endure.

  • From Risk to Resilience: Why Risk Models Fail and Why Resilience Is a Smarter Investment in an Age of Uncertainty, (Hardcover)
  • Author: Sharron McPherson
  • ISBN: 9783032260567
  • Format: Hardcover
  • Publication Date: 2026-08-19
  • Page Count: 230
Book format Hardcover
Fiction/nonfiction Non-Fiction
Genre Business & Investing
Publication date August, 2026
Pages 230
Subgenre Finance
Series title No Series
Number in series 0
Edition 1
Publisher Springer Nature Switzerland
Language English
Is collectible N
Binding type Case Binding
Recording time 0 min
Retail packaging Single Piece
Assembled product dimensions (l x w x h) 6.10 x 6.00 x 9.25 in
Assembled product weight 1.25 lb
Bisac subject heading Business & Economics

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