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The University of Southampton
Centre for Risk Research

Books

A selection of books and books sections produced by the Centre's members:

Chapman, C. (2019). Enlightened planning: Using systematic simplicity to clarify opportunity, risk and uncertainty for much better management decision making. London: Routledge.

 

Katsikopoulos, K. V. (2019). The merits of transparent models. In L. White, M. Kunc, K. Burger, & J. Malpass (Eds.), Behavioral Operational Research: A Capabilities Approach (pp. 261-275). Springer International Publishing.

 

Jennings, W. (2016) Risk Management for the Olympics and FIFA World Cups. In: Frawley, S (ed.) Managing Sport Mega-Events. Routledge, Oxon.

 

Hannigan, B. (2015) Company Law (4th Ed.) Oxford, GB, Oxford University Press.

 

Marshall, A.J. (2014) When political and financial elites clash: Narratives of blame, power and legitimacy in the transatlantic crisis. In: Best, H. and Higley, J. (eds.) Political Elites in the Transatlantic Crisis. Palgrave-Macmillan, Basingstoke.

 

Brennan, T., Lo, A. and Nguyen, T. (2014) Portfolio Theory. In: Higham, N. (ed.) The Princeton Companion to Applied Mathematics.

Risk Professor Wins Faculty Teaching Award

Professor Johnnie Johnson, Director of the Centre for Risk Research, won an Excellence in Teaching award for 2013 in the Faculty of Business, Law and Art at an event organised by the Southampton University Students¿ Union.

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