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Porter's Five Forces

Understand competitive forces and stay ahead of the competition

Understand competitive forces and stay ahead of the competition This book is a practical and accessible guide to understanding and implementing Porter’s five forces, providing you with the essential information and saving time. In 50 minutes you will be able to: • Understand the five forces that affect profitability and analyze each force in depth in relation to your company • Analyze the intensity of the competition within an industry and how this affects your business • Increase or maintain your competitive advantage according to the analysis ABOUT 50MINUTES.COM | Management & Marketing 50MINUTES.COM provides the tools to quickly understand the main theories and concepts that shape the economic world of today. Our publications are easy to use and they will save you time. They provide elements of theory and case studies, making them excellent guides to understand key concepts in just a few minutes. In fact, they are the starting point to take action and push your business to the next level.

Understand competitive forces and stay ahead of the competition This book is a practical and accessible guide to understanding and implementing Porter’s five forces, providing you with the essential information and saving time.

Panduan Analisis SWOT untuk Kesuksesan Bisnis

Jangan Buat Strategi Bisnis Sebelum Baca Buku Ini

Ibarat menempuh sebuah perjalanan, SWOT laksana kendaraan yang dapat mengantarkan kita menuju tujuan kita, dengan lebih cepat. Oleh sebab itu, para pebisnis sangat disarankan untuk melakukan analisis SWOT ketika hendak memulai bisnis, juga ketika ingin mengembangkan bisnisnya. Buku ini akan menunjukkan bagaimana Anda bisa melakukan analisis dari faktor internal dan faktor eksternal secara mendetail. Anda akan dipandu untuk memahami apa itu Strength, Weakness, Opportunity, dan Threat, plus bonus aneka strategi pengembangan bisnis yang dapat menjadi bahan bakar terbaik untuk perjalanan bisnis Anda menuju kesuksesan. Semoga sukses!

Ibarat menempuh sebuah perjalanan, SWOT laksana kendaraan yang dapat mengantarkan kita menuju tujuan kita, dengan lebih cepat.

Manajemen Digital Marketing

Buku Manajemen Digital Marketing ini menyajikan panduan komprehensif dalam memahami, menerapkan, dan mengukur strategi pemasaran digital, khususnya di industri pelayaran. Dimulai dari konsep dasar hingga inovasi platform digital, buku ini membahas kesenjangan kapabilitas, pengukuran kinerja, serta praktik nyata pemasaran digital. Diperkuat dengan teori-teori manajemen mutakhir dan studi kasus model bisnis digital seperti Uber dan Airbnb, buku ini menjadi referensi penting bagi akademisi, profesional pemasaran, dan pengambil kebijakan di era transformasi digital. Pendekatannya menyeluruh, berbasis riset, serta aplikatif dalam dunia bisnis yang semakin kompetitif.

... Management, 32(3), 177-185. https://doi.org/10.1016/S0019- 8501(02)00261-4 Thakur, R., & AlSaleh, D. (2018). A ... pendidikan maritim. Smart Global Nusantara Arleiny, A., Suwondo, I., Huda, S., Wulandari, R. S., & Jamaludin, M ...

Fundamentals of Risk Management

Understanding, Evaluating and Implementing Effective Risk Management

Fundamentals of Risk Management, now in its fourth edition, is a comprehensive introduction to commercial and business risk for students and a broad range of risk professionals. Providing extensive coverage of the core frameworks of business continuity planning, enterprise risk management and project risk management, this is the definitive guide to dealing with the different types of risk an organization faces. With relevant international case examples from both the private and public sectors, this revised edition of Fundamentals of Risk Management is completely aligned to ISO 31000 and provides a full analysis of changes in contemporary risk areas including supply chain, cyber risk, risk culture and improvements in risk management documentation and statutory risk reporting. This new edition of Fundamentals of Risk Management has been fully updated to reflect the development of risk management standards and practice, in particular business continuity standards, regulatory developments, risks to reputation and the business model, changes in enterprise risk management (ERM), loss control and the value of insurance as a risk management method. Also including a thorough overview of the international risk management standards and frameworks, strategy and policy, this book is the definitive professional text for risk managers.

This new edition of Fundamentals of Risk Management has been fully updated to reflect the development of risk management standards and practice, in particular business continuity standards, regulatory developments, risks to reputation and ...

Corporate Risk Management

The book analyzes, compares, and contrasts tools and techniques used in risk management at corporate, strategic business and project level and develops a risk management mechanism for the sequencing of risk assessment through corporate, strategic and project stages of an investment in order to meet the requirements of the 1999 Turnbull report. By classifying and categorizing risk within these levels it is possible to drill down and roll-up to any level of the organizational structure and to establish the risks that each project is most sensitive to, so that appropriate risk response strategies may be implemented to benefit all stakeholders. "The new edition of this book provides a clear insight into the intricacies of corporate risk management and the addition of the case study exemplars aids understanding of the management of multiple projects in the real world." —Professor Nigel Smith, Head of the School of Civil Engineering, University of Leeds

"The new edition of this book provides a clear insight into the intricacies of corporate risk management and the addition of the case study exemplars aids understanding of the management of multiple projects in the real world." —Professor ...

Manajemen Risiko

Kebanyakan orang takut menanggung risiko, namun semua tahap kehidupan dan kegiatan mengandung risiko. Kemampuan kita lari menghindari risiko, di situ pun kita akan menghadapi risiko yang lain. Risiko merupakan bagian yang tak terpisahkan dari kehidupan. Walaupun demikian, kita harus berusaha melindungi diri dari risiko dengan jalan memanajemeni risiko itu. Apakah risiko itu dan bagaimana memanajemeninya? Hal tersebut dibahas dalam buku ini, yang terbagi dalam dua bagian. Bagian pertama membahas: Konsep Risiko; Metode Mengidentifikasi Risiko; Mengukur Besarnya Risiko; Pembelajaran Risiko; dan Cara Memilih Metode Penanganan Risiko. Pembahasan pada bagaian ini berorientasi pada asuransi. Bagian Kedua dengan judul "Integrated Risk Management" atau "Enterprise Rist Management", dimana tidak ada lagi pemisahan antara risiko murni dan risiko spekulatif, sedangkan sarana pemindahan risiko tidak lagi terfokus pada asuransi, sedangkan sarana pemindahan risiko tidak lagi terfokus pada asuransi, tetapi telah masuk ke dalam sarana pasar keuangan seperti derivative. Bagian ini juga membahas disiplin baru dalam manajemen risiko, yaitu ART dan Risiko Operasional.

Bagian ini juga membahas disiplin baru dalam manajemen risiko, yaitu ART dan Risiko Operasional.

MANAJEMEN RISIKO: TEORI & APLIKASI PADA DUNIA USAHA DAN PERBANKAN

Dalam dunia usaha dan perbankan, manajemen risiko memainkan peran yang sangat penting. Risiko merupakan bagian yang tidak terpisahkan dari setiap aktivitas bisnis, dan kemampuan untuk mengindentifikasi, mengukur, dan mengelola risiko dengan efektif menjadi kunci keberhasilan dan keberlanjutan suatu organisasi. Buku ini diharapkan dapat menjadi referensi yang bermanfaat bagi para professional, akademisi, mahasiswa, serta pihak- pihak lain yang tertarik dengan bidang manajemen risiko.

Dalam dunia usaha dan perbankan, manajemen risiko memainkan peran yang sangat penting.

MANAJEMEN RISIKO

Manajemen risiko merupakan proses sistematis dalam melakukan identifikasi awal, analisis, perencanaan, dan juga penegndalian risiko dalam suatu organisasi dengan tujuan pengendalian risiko dalam suatu organisasi dengan tujuan meminimalkan efek dan peristiwa yang merugikan dan memaksimalkan kemungkinan dan dampak peristiwa positif dimana hal ini disebut sebagai peluang. manajemen risiko berusaha untuk mengidentifikasi keseimbangan yang tepat antara pengembalian dan risiko. sejumlah risiko tertentu diterima jika dibenarkan baik dari sudut pandang teknis dan keuangan. sistematika buku manajemen risiko ini mengacu pada pendekatan teoritis dan contoh penerapan. Buku ini terdiri dari 10 bab yang membahas secara rinci, terdiri dari: Konsep Manajemen Risiko, Standar dalam Proses Manaejemen Risiko, Identifikasi Risiko, Pengukuran Risiko, Mengelola Risiko, Risiko Pemasaran, Penanganan Risiko Produksi, Penanganan Risiko Logistik, Penanganan Risiko Lingkungan, dan Pengendalian Risiko

Manajemen risiko merupakan proses sistematis dalam melakukan identifikasi awal, analisis, perencanaan, dan juga penegndalian risiko dalam suatu organisasi dengan tujuan pengendalian risiko dalam suatu organisasi dengan tujuan meminimalkan ...

Fundamentals of Islamic Money and Capital Markets

The first comprehensive guide to Islamic financial markets Based on the course taught at the International Islamic University Malaysia, this is the first book on Islamic finance to focus exclusively on money and capital markets. Covering basic concepts as well as current practices in Islamic financial markets, the book features case studies from real markets. It outlines the theory of money in terms of value, supply, and demand, while explaining the Islamic capital markets in terms of classifications, types of operations, valuations of securities, Islamic unit trust, ETFs, Islamic stock broking, and much more. Written by experts from the International Islamic University Malaysia, the leading organisation in research in Islamic finance The first guide to Islamic finance focused solely on money and capital markets An excellent introduction to money market principles for students in Islamic banking and finance, as well as researchers and current practitioners, Fundamentals of Islamic Money and Capital Markets is a vital resource on the subject.

Praise for Fundamentals of Islamic Money and Capital Markets A comprehensive guide to understanding Islamic money and Islamic capital market principles and practices "What distinguishes this book is its focus on the applied dimension of ...

Islamic Capital Markets

Products and Strategies

Islamic Finance has experienced rapid growth in recent years, showing significant innovation and sophistication, and producing a broad range of investment products which are not limited to the complete replication of conventional fixed-income instruments, derivatives and fund structures. Islamic Finance represents an elemental departure from traditional interest-based and speculative practices, relying instead on real economic transactions, such as trade, investment based on profit sharing, and other solidary ways of doing business, and aims to incorporate Islamic principles, such as social justice, ecology and kindness, to create investment products and financial markets which are both ethical and sustainable. Products created according to Islamic principles have shown a low correlation to other market segments and are relatively independent even from market turbulences like the subprime crisis. Therefore, they have become increasingly popular with secular Muslims and non-Muslim investors, as highly useful alternative investments for the diversification of portfolios. In Islamic Capital Markets: Products and Strategies, international experts on Islamic Finance and Sharia'a Law focus on the most imminent issues surrounding the evolution of Islamic capital markets and the development of Sharia'a-compliant products. The book is separated into four parts, covering: General concepts and legal issues, including Rahn concepts in Saudi Arabia, the Sharia'a process in product development and the integration of social responsibility in financial communities; Global Islamic capital market trends, such as the evolution of Takaful products and the past, present and future of Islamic derivatives; National and regional experiences, from the world's largest Islamic financial market, Malaysia, to Islamic finance in other countries, including Germany, France and the US; Learning from Islamic finance after the global financial crisis; analysis of the risks and strengths of Islamic capital markets compared to the conventional system, financial engineering from an Islamic perspective, Sharia'a-compliant equity investments and Islamic microfinance. Islamic Capital Markets: Products and Strategies is the complete investors' guide to Islamic finance.

The book is separated into four parts, covering: General concepts and legal issues, including Rahn concepts in Saudi Arabia, the Sharia'a process in product development and the integration of social responsibility in financial communities; ...