References
Abell, D. (1980). Defining the Business – The Strategic Point of Strategic Planning. Prentice Hall, Englewood Cliffs, NJ.
Ackers, K. (2000) ISO 9001:2000 (DIS), Highgrade Resources Limited.
Alabastro, M.A., Beckmann, G., Gifford, G., Massey, A.P. and Wallace, W.A. (1995). The Use of Visual Modelling in the Design and Manufacturing Process for Advanced Composite Structures. IEEE Transactions of Engineering Management, Vol. 42, No. 3, pp. 233-242.
Al-Bahar, J.F. and Crandell, K.C. (1990). Strategic Risk Management Approach for Construction Projects. ASCE Journal of Construction Engineering and Management, Vol. 16, No. 3, September.
Al-Derham, N. (2005). The Effects of Quality Risks on Profitability in GCC Countries, Unpublished MSc Dissertation, School of MACE, University of Manchester,
Al-Khalifa, K (2000). Understanding the Cultural Constraints of TQM Implementation in Qatar Industries, Unpublished PhD thesis, University of Birmingham.
Allen, D. (1995). Risk Management in Business. Cambridge University Press, Cambridge.
Ambrose, B. (2005). Question Time. Quality World, Vol. 31, No. 1, pp. 48-50.
Andrews, K.A. (1998). The Strategist: The Concept of Corporate Strategy. The Strategy Process, 3rd Edition, Edited by Mintzberg, H. et al. Prentice Hall, Englewood Cliffs, NJ.
Ansell, J. and Wharton, F. (1995). Risk: Analysis Assessment and Management, John Wiley & Sons, Chichester.
Archibald, R.D. and Lichtenberg, S. (1992). Experiences Using Next Generation Management Practices. Proceedings of the INTERNET World Congress on Project Management, Florence, Italy, Vol. 1, pp. 83-97.
Ariani (2001). Country Risk in Infrastructure Finance. MSc Thesis, UMIST, Manchester.
Artto, K.A. (1997). Fifteen Years of Risk Management Applications: Where are we going in managing risks?. Edited by Kahkonen, K. and Artto, K.A. E&FN Spon, London, pp. 3-14.
Association française sur le gestion financière (AFG) (1998, 2001, 2004). Recommandations sur le gouvernement d’entreprise.
Baker, H. (2000). Fixing Problems. Global Cosmetic Industry, Vol. 164, No. 4, pp. 50-51.
Barjon, F. (2006). Introducing Elements of Risk Management and Risk Portfolio Management Systems to a Business, Can they Bring Value? Unpublished MBA dissertation, Manchester Business School, University of Manchester.
Barnes, M. (2007). Masters of Uncertainty. Project, Vol. 19, Issue 7, February 2007.
Bartlett, C.A. and Ghoshal, S. (1994). Changing the Role of Top Management: Beyond Strategy to Purpose. Harvard Business Review, November-December, pp. 79-88.
Basel Committee on Banking Supervision (2003). Trends in Risk Integration and Aggregation from Basel Committee on Banking Supervision, The Joint Forum.
Basel Committee on Banking Supervision (2004). The New Basel Capital Accord. Basel, Bank for International Settlements.
Bennett, R. (1996). Corporate Strategy and Business Planning. Pitman Publishing, London.
Benoit, P. (1996). Project Finance at the World Bank – An Overview of Policies and Instruments. Technical Paper No. 312. World Bank, Washington, DC.
Bernes, B. (1996). Managing Change: A Strategic Approach to Organisational Dynamics. Strategic Management, 2nd Edition, Ch. 5. FT Prentice Hall, Harlow.
Bessis, J. (2000). Risk Management in Banking. John Wiley & Sons, Chichester.
Birchall, J. and Morris, G. (1992). Business Studies: What is Business? Nelson, Cheltenham.
Blackburn, S. (1999). Managing Risk and Achieving Turnbull Compliance. ICAEW.
Blanden, R. (2002). What is Strategy? Project, Vol. 15, Issue 2.
Blank, S. (1980). Assessing the Political Environment: An Emerging Function in International Companies, The Conference Board. New York: Haggard.
Blythe, J. (1998). Essentials of Marketing. Pitman, London.
Borge, D. (2001). The Book of Risk: Risk Taking. John Wiley & Sons, Chichester.
Bouton, D. (2002). Report Bouton: For a better corporate governance. MEDEF.
Bower, D. and Merna, A. (2002). Finding the Optimal Contractual Arrangement for Projects on Process Job Cites. Journal of Management in Engineering, Vol. 18, No. 1, pp. 17-20.
Bowman, C. and Ash, D. (1987). Strategic Management. Macmillan, London.
Brealey, R. A. and Myers, S.C. (2000). Principles of Corporate Finance, 7th Edition. McGraw-Hill, New York.
British Standard (1996). BS 8444: Risk management, Part 3 Guide to analysis of technological systems – application guide. British Standards Institution, London.
Burnside, D. (2007). An investigation of risk management assessment tools and techniques and the application of Caspar software. Unpublished MSc dissertation, School of MACE, University of Manchester.
Bussey, L.E. (1978). The Economic Analysis of Industrial Projects. Prentice Hall, Englewood Cliffs, NJ.
Cadbury Report on Corporate Governance (1992). Prepared by Sir John Cadbury. Gee (Professional Publishing), London.
Central Computer and Telecommunication Agency (CCTA) (1994). Guide to Programme Management. The Stationery Office, London.
Chambers, I. and Wallace, D. (1993). Collins Gem. Business Studies: Basic Facts. Harper Collins, Glasgow.
Chapman, R. (1998). The Effectiveness of Working Group Risk Identification and Assessment Techniques. International Journal of Project Management, Vol. 16, No. 6, pp. 337, Surrey.
Chapman, C.B. and Ward, S.C. (1997). Project Risk Management: Processes, Techniques and Insights. John Wiley & Sons, Chichester.
Clarke, K. (1993). Survival Skills for a New Breed. Management Today, December, p. 5.
Cole, M. (2002). Measure of Success. New Civil Engineer, 14 March, p. 14.
Collins English Dictionary (1995). Harper Collins, Glasgow.
Collins, J.C. and Porras, J. (1996). Building Your Company’s Vision. Harvard Business Review, September-October, pp. 65-77.
Conklin, D. and Tapp, L. (2000). The Creative Web. Ivey Business Journal, May.
Connaughton, J.N. and Green, S.D. (1996). Value Management in Construction: A client’s guide. CIRIA, London.
Cooper, D. and Chapman, C. (1987). Risk Analysis for Large Projects: Models, Methods and Cases. John Wiley & Sons, Chichester.
Cooper, R.G., Edgett, S.J. and Klienschmidt, E.J. (1998). Portfolio Management for New Products. Perseus, New York.
Cornell, B. (1999). The Equity Risk Premium: The Long-Run Future of the Stock Market. John Wiley & Sons, Chichester.
Coyle, B. (2001). Interest Rate Options. Financial World Publishing, Canterbury.
Crosby, P. (1985). Quality is Free. McGraw-Hill Book Company.
Cuthbertson, K. and Nitzsche, D. (2001). Financial Engineering: Derivatives and Risk Management. John Wiley & Sons, Chichester.
Dale, B. and Plunkett, J. (1990). Managing Quality. Philip Allan.
Damodran, A. (1997). Corporate Finance. Theory and Practice. John Wiley & Sons, New York.
David, F.R. (1989). How Companies Define their Mission. Long Range Planning, Vol. 22, No. 1, pp. 90-97.
Davies, D. (2000). Holistic Risk Management. Project Today, pp. 10-11.
Dawson, P.J., Mawdesley, M.J. and Askew, W.H. (1995). A Risk Perspective Approach to Risk Management. A Construction Organisation: First International Conference on Construction Project Management, Singapore.
Deloitte and Touche, (2001). Corporate Governance: 2001 Progress Report. Deloitte & Touche.
Deming, W. (1986). Out of Crisis. Cambridge, MA: MIT Centre for Advanced Engineering.
Department of Trade and Industry (1996). Protecting Business Information: 1 (Understanding the Risks) and 11 (Keeping it Confidential). DTI, London.
Derivatives and Risk Management in the Petroleum, Natural Gas, and Electricity Industries (2007). EIA. (date accessed 01.2007), http://www.eia.doe.gov/
Desta, A. (1985). Assessing Political Risk in Less Developed Countries. Journal of Business Strategy, Vol. 5, No. 4, pp. 40-53.
De Wit, B. and Meyer, R. (1994). Strategy – Process, Content: Context, An International Perspective. West, New York.
Diekmann, J.E., Sewester, E.F. and Taher, K. (1988). Risk Management in Capital Projects. The Construction Industry Institute. Austin, TX.
DiPiazza, S.A. Jr. (2002). Enterprise Risk Management: Managing and Benefiting from Risk. World Economic Forum.
Dobins, R. et al. (1994). Portfolio Theory and Investment Management: An Introduction to Modern Portfolio Theory, Blackwell Science, Oxford.
Dybvig, P.H. (1988). Distributional Analysis of Portfolio of Choice. Journal of Business, Vol. 61, Issue 3 (July), pp. 369-393.
Edosomwan, J. (1995). Integrating Productivity and Quality Management, 2nd Edition. Marcel Dekker Inc., Industrial Press Inc.
Elbing, C. (2000). Management of Large Projects in City Centres: A case study. MSc Dissertation, Weimar University.
Ellafi J. and Merna, T. (2005). Investigating the Finance Strategies for Gas Projects in Developing Countries. PhD thesis, Supervisor Merna, T., Faculty of Engineering and Physical Science, School of MACE, University of Manchester.
Elliott, L. and Atkinson, D. (2007). Fantasy Island. Constable, London.
Ellis, J. and Williams, D. (1995). International Business Strategy – Strategy, Performance and Process. Pitman, London.
Ellis, T.S., Jiang, J.J. and Klein, G. (2002). A Measure of Software Development Risk. Project Management Journal, Vol. 33, No. 3, pp. 30-41.
Eloff, J.H. et al. (1995). Information Security – the next decade, 11th International Conference on Information Security, Athens
Elsey, M. and Hurst, P. (1996). Projects Procured by Privately Financed Concession Contracts. Hong Kong, Asia Law and Practice Ltd.
Energy Information Administration (2001). Financial Performance. September. Online: http://www.fedstats.gov/key_stats/EIAkey.html.
Enrick, N. (1985). Quality, Reliability, and Process Improvement, 8th Edition. Industrial Press Inc., New York.
Esty, B.C. (2004). Modern Project Finance: A Case Book. John Wiley & Sons, New York.
Europa (2005). European Coporate Governance Forum.
European Commission (2003). Modernising Company Law and Enhancing Corporate Governance in the European Union: A Plan to Move Forward.
European Corporate Governance Institute, (2006). Modernising Company Law and Enhancing Corporate Governance.
Fabozzi, F.J. (2002). The Handbook of Financial Instruments. John Wiley & Sons, New York.
Fabozzi, F.J. and Markowitz, H.M. (2002). The Theory and Practice of Investment Management. John Wiley & Sons, New York.
Fachtagung Projektmanagement (1998). Bundesprojekte Deutsche Einheit. Deutscher Verband Projektsteuerer, Berlin.
Falsey, T. A. (1989). Corporate Philosophies & Mission Statements. Quorum, New York.
Feigenbaum, A. (1983). Total Quality Control, 3rd Edition. McGraw-Hill Book Company.
Felton, R.F. and Watson, M. (2002). Getting Governance Right. McKinsey Quarterly report, issue number 4, McKinsey and Company.
Field, M. and Keller, J. (1999). Project Management. Thompson Business Press, London.
Financial Reporting Council (2005). Review Endorses the Turnbull Guidance. IIA, 2000, Turnbull: An Opportunity for Internal Audit.
Financial Times (2004). Loan deal paves way for liquid PDI market. FT Companies and Markets, 27 September.
Finkel, A.M. (1990). Confronting Uncertainty in Risk Management: A Guide for Decision-Makers. Resources for the Future. Center for Risk Management, Washington, DC.
Fischhoff, B., Lichenstein, S., Slovic, P., Derby, S. and Keeney, R. (1983). Acceptable Risk. Cambridge University Press, New York.
Flanagan, R. and Norman, G. (1993). Risk Management and Construction, Blackwell, Oxford.
Foster, C. (2002). Time is on the side of PPP as partnerships grows up. Sunday Herald, Glasgow, 21 July.
Frank, M. and Merna, T. (2003). Portfolio Analysis for a Bundle of Projects. Journal of Structured and Project Finance, Vol. 9, No. 3, Fall, pp. 80-87.
Fraser, B.W. (2003). Managing Risk Proactively. Strategic Finance, Vol. 84, No. 10. pp. 36-40.
Fraser, D.R., Gup, B.E. and Kolari, J.W. (1995). Commercial Banking: The Management of Risk. West, Minneapolis.
Freiesleben, J. (2004). Quality Problems and their Real Costs, Quality Progress, Vol. 37, No. 12, pp. 49-55.
French, D. and Saward, H. (1983). A Dictionary of Management. Pan, London.
Frosdick, S. (1997). The Techniques of Risk Analysis Are Insufficient in Themselves. Disaster Prevention and Management, Vol. 6, No. 3.
Galitz, L. (1995). Financial Engineering: Tools and Techniques to Manage Financial Risks. Pitman, London.
Ganas, M. (1997). Value-Based Feasibility Studies. MSc Dissertation, UMIST, Manchester.
Gareis, R. (1998). The New Project Management Paradigm. 14th World Congress on Project Management, Ljubljana, Slovenia.
Garvin, D. (1987). Competing on the Eight Dimensions of Quality. Harvard Business Review, Vol. 65, No. 6, pp. 101-109.
Ghasemzadeh, F. and Archer, N.P. (2000). Portfolio Selection Through Decision Support. Decision Support Systems, Vol. 29, pp. 73-88.
Glen, J.D. (1993). How Firms in Developing Countries Manage Risk. Discussion Paper No. 17. International Finance Corporation (IFC), Washington, DC.
Goergen, M. (2003). Why are the Levels of Controls so Different in German and UK Companies? The University of Sheffield Management School, European Corporate Governance Institute finance working paper No. 07/2003.
Goodman, S.H. (1978). Financing and Risk in Developed Countries. Praeger, New York.
Goold, M. and Campbell, A. (1989). Good ‘corporate parents’ can see off ‘unblunders’. Financial Times, Letter, 6 November.
Gorog, M. (1998). Pre-requisites and Tools for Strategy Orientated Project Management. 14th World Congress on Project Management, Ljubljana, Slovenia.
Gratt, L.B. (1987). Risk Analysis or Risk Assessment: A proposal for consistent definitions. Uncertainty in Risk Management, Risk Assessment, Risk Management and Decision Making. Plenum Press, New York, pp. 241-249.
Gregory, G. (1997). Decision Analysis. Pitman, London.
Grigg, N. (2004). Food Stats. Quality World, Vol. 30, No. 12, pp. 34-39.
Gronroos, C. (1988). Service Quality: The Six Criteria of Good Perceived Service Quality. Review of Business, Vol. 9, pp. 10-13.
Grundy, T. (1998). Strategy Implementation and Project Management. International Journal of Project Management, Vol. 16, No. 1, pp. 43-50.
Grundy, T. (2000). Strategic Project Management and Strategy Behaviour. International Journal of Project Management, Vol. 18, No. 1. pp. 93-103.
Grupo Santander (2000). Financial Risk Management-APractical Approach for emerging markets. Inter-American Development Bank.
Gummesson, E. (1988). Service Quality and Product Quality Combined, Review of Business, Vol. 9, pp. 14-19.
Gutmann, P. (1980). Assessing Country Risk. NatWest Bank Quarterly Review, May, pp. 58-68.
Haendel, D. (1979). Foreign Investment and The Management of Political Risk. Westview Press, Boulder, CO.
Hamphire, S. (2003). Satisfaction’s What You Need, Quality World, Vol. 29, No. 5, pp. 10-13.
Handy, C. (1999). Beyond Certainty: The changing worlds of organisation. Harvard Business School Press, Boston, MA.
Harley, M. (1999). Integrated risk management – the complete guide to a new way of looking at risk and its management. Financial Times Information Management Report.
Harrison, B. (2005). Product Recall Risk is Becoming a Supplier Problem, Business Insurance magazine. http://www.aon.com/focus, date accessed 02/07/2005.
Harrow, J. (1997). Managing Risks and Delivering Quality Services: A Case Study Perspective. International Journal of Public Sector Management, Vol. 10, No. 5, pp. 331-352.
Haynes, M.E. (1990). Project Management: From idea to implementation. Kogan, London.
Heald, D. (2003). PFI accounting treatment and value for money. Accounting, Audit and Accountability Journal, Vol. 16.
Health and Safety Executive Guidance. Note GS23 (1993). Health and Safety Executive, UK.
Hefferman, S. (1986). Sovereign Risk Analysis. Unwin Hyman, London.
Hempel, G.H. and Simonson, D.G. (1999). Bank Management – Text and Case. John Wiley & Sons, Inc., USA.
Hertz, D.B. and Thomas, H. (1983). Risk Analysis and its Applications. John Wiley & Sons, Chichester.
Hertz, D. and Thomas, H. (1984). Practical Risk Analysis: An Approach through Case Histories. John Wiley & Sons, Chichester.
Hetland, P.W. (2003). Uncertainty Management. Appraisal, Risk and Uncertainty, Edited by Smith, N.J. Thomas Telford, London.
Higgins, R.C. (1995). Analysis for Financial Management, 4th Edition. Irwin, New York.
Hillson, D. (1998). Project Risk Management: Future Developments. International Journal of Project and Business Risk Management, Vol. 2, Issue 2, Summer.
Hillson, D. and Murray-Webster, R. (2006). Understanding Risk Attitude, Association of Project Management, Yearbook 2006/07
HM Treasury (2001). Management of Risk, a Strategic Review.
Houlden, B. (1990). Understanding Company Strategy: An Introduction to Thinking and Acting Strategically. Blackwell, Oxford.
Hugenholtz, K. (1992). Ethic, not efficiency first, decision makers will need new skills: project managers are the last to know. Project Management without Boundaries. Internet, Florence, Italy.
Hussain, A. (2005). Development of risk envelopes and testing for the formulated envelope on a case study. Unpublished MSc. University of Manchester.
Hussey, D.E. (1991). The corporate planning process. Introducing corporate planning – guide to strategic management. Butterworths, London.
Hwee, N.G. and Tiong, R.L.K. (2001). Model on Cash Flow Forecasting and Risk Analysis for Contracting Firms. International Journal of Project Management, Vol. 20, pp. 351-363.
ICE design and practice guide (1996). Creating Value in Engineering. Thomas Telford, London.
Inderfurth, K., Linder, G. and Rachaniotis, N. (2005). Lot Sizing in Production System with Rework and Product Deterioration. International Journal of Production Research, Vol. 43, No. 7, pp. 1355-1374.
Institute of Charted Accountants in England and Wales (ICAEW) (1999). Internal Control: Guidance for Directors on the Combined Code.
Institute of Internal Auditors (2005). Response to Evidence Gathering Phase of Review of Turnbull Guidance on Internal Control.
International Journal of Project and Business Risk Management (1998). Embedded Operational Risk Management and Key Competencies in the Modern Adaptive Organisation, Vol. 2, Issue 1, Spring.
Jaafari, A. (2001). Management of Risks, Uncertainties and Opportunities on Projects: Time for a fundamental shift. International Journal of Project Management, Vol. 19, pp. 89-101.
Jacob, M. (1997). Corporate Risk Management and the Use of Derivatives. MSc Thesis. UMIST, Manchester.
Jacobs, G. (2004). Think Before You Leap. Quality World, Vol. 30, No. 8, pp. 20- 22.
Jacoby, J. and Jaccard, J. (1981). The Sources, Meaning and Validity of Consumer Complaint Behaviour: A Psychological Analysis, Journal of Retailing, Vol. 57, No. 3, pp. 4-22.
Jenkins, J.H. (2005). Off-Balance-Sheet Financing to the Refinery Industry, Jacobs Consultancy.
Jia, F. and Jobbling, P. (1998). Expenditure and Cash Flow Forecasting Using an Integrated Risk, Time and Cost Model. International Journal of Project and Business Risk Management, Vol. 2, Issue 4, Winter.
Jiang, J.J. and Klein, G. (2001). Software Project Risks and Development Focus. Project Management Journal, Vol. 32, No. 1, pp. 4-9.
Johnson, G. and Scholes, K. (1999). Exploring Corporate Strategy, 4th Edition. Prentice Hall Europe, Harlow.
Jong, Jian Yang (1995). The Re-engineering of Design Office-A case study of applying modelling techniques. MSc Thesis, UMIST, Manchester.
Juran, J. (1988). Juran’s Quality Control Handbook, 4th Edition. McGraw-Hill.
Kahkonen, K. and Artto, K.A. (1997). Managing Risks in Projects: Institutional risk management. E&FN Spon, London.
Kaplan, L. and Gerrick, G. (1981). On the Quantitative Definition of Risk. Risk Analysis.
Kaplan, R.S. and Norton, D.P. (1996). The Balanced Scorecard – Translating Strategy into Action. Harvard Business School Press, Boston, MA.
Keasey, K., Thompson, S. and Wright, M. (1997). Corporate Governance: Economic, Management and Financial Issues. Oxford University Press, Oxford.
Kedar, B.Z. (1970). Again: Arabic Risq, Medieval Latin Riscum. Studi Medievali. Centro Italiano Di Studi Sull Alto Medioevo, Spoleto.
Kerzner, H. (2003). Project Management: A Systems Approach to Planning, Scheduling, and Controlling. John Wiley & Sons, Inc, Hoboken.
Khan, S. (2006). Intelligent Thinking. Project. Vol. 19, Issue 6, Dec/Jan 06/07.
Khu, S. (2002). An Investigation to Determine the Allocation of Financial Instruments Associated with the Risks Identified in Project Activities. PhD Thesis, UMIST, Manchester.
Kolluru, R., Bartelli, S., Pitblado, R. and Stricoff, S. (1996). Risk Assessment and Management Handbook: For Environmental, Health and Safety Professionals. McGraw-Hill, New York.
Kumburovic, A. (2004). Quality Management System and ISO Standards – Global Phenomenon of Today, Center for Entrepreneurship and Economic Development CEED, pp. 52-57.
Lamb, D. and Merna, A. (2004a). A Guide to the Procurement of Privately Financed Projects. Thomas Telford, London.
Lamb, D. and Merna, A. (2004b). Development and Maintenance of a Robust Public Sector Comparator. Journal of Structured and Project Finance, Vol. 10, No. 1, p. 162.
Lamprecht, J. (1993). Quality and Reliability – Implementing the ISO 9000 Series. Marcel Dekker Inc.
Lane, K. (1993). A Project Culture Permeates the TSB. Project Manager Today, February, pp. 24-25.
Langford, D. and Male, S. (2001). Strategic Management in Construction. Blackwell Science, Oxford.
Lawson, D. (2003). Is ISO your System. Quality World, Vol. 29, No. 9, pp. 34-36.
Leavy, B. (1984). Country Risk for Foreign Investment Decision. Long Range Planning, Vol. 17, No. 3, pp. 141-150.
Leftly, M. (2003). Big Three to Bid for PFI Hospital Bid. Building Magazine, May.
Leiringer, R. (2003). Technological Innovations in the Context of Public Private Partnership Projects. Doctoral Thesis, KTH Industrial Economics and Management, Stockholm.
Lester, R., Enrick, N. and Mottley, H. (1985). Quality Control for Profit, 2nd Edition, Margel Dekker Inc.
Lifson, M.W. and Shaifer, E.F. (1982). Decision and Risk Analysis for Construction Management. John Wiley & Sons, Chichester.
Lockitt, W.G. (2000). Practical Project Management for Education and Training. FEDA, London.
Logan, Twila Mae (2003). Combining Real Options and Decision Tree: An Integrated Approach for Project Investment Decisions and Risk Management. Journal of Structured and Project Finance. Vol. 9, No. 3, Fall.
London Stock Exchange (2002). Online: http://www.londonstockexchange.com.
Loose, P. (1990). The Company Director: His functions, powers and duties, 6th Edition. Jordan, Bristol.
LSF (2003). French Law No. 2003-706 Loi de Sécurité Financière, 1 August 2003.
Lynch, M. (2002). Implementing a Scrap Reduction Program. Modern Machine Shop, Vol. 74, No. 12, pp. 154-155.
MacCrimmon, K.R. and Wehrung, D.A. (1986). Taking Risks. Free Press, New York, pp. 36-37.
Mandelson, P. and Liddle, R. (1996). Can Britain survive? Observer, 2 August 1998.
March, J.G. and Shapira, Z. (1987). Managerial Perspectives on Risk and Risk Taking. Management Science, Vol. 33, pp. 1404-1418.
March, J.G. and Shapira, Z. (1992). Variable Risk Preferences and Focuses of Attention. Psychological Review, Vol. 99, No. 1, pp. 172-183.
Marshell, C. (2000). Measuring and Managing Operational Risks in Financial Institutions: Tools, techniques and other resources. John Wiley & Sons, Chichester.
Maylor, H. (1996). Project Management: The nature and context of project management. Pitman, London.
McConnell, P. (2004). Measuring Operational Risk Management Systems Under Basel II, Available at: http://www.continuitycentral.com/measuringORMsystems.pdf
McCoy, C.S. (1985). Management of Values. Ballinger, Cambridge.
McDowall, E. (2001). Bundling School PFI Contracts. Facilities Management, March, pp. 8-9.
McNamee, P.B. (1985). Tools and Techniques for Strategic Management. Pergamon Press, Oxford.
Merna, T. (2007). Quality Management Seminar Notes – Seminar 9. Management of Projects MSc Programme, University of Manchester.
Merna, A. and Dubey, R. (1998). Financial Engineering in the Procurement of Projects. Asia Law & Practice, Hong Kong.
Merna, A. and Khu, F.L.S. (2003). The Allocation of Financial Instruments to Project Activity Risks. Journal of Project Finance, Vol. 8, No. 4, pp. 21-33.
Merna, A. and Merna, T. (2004). Development of a Model for Risk Management at Corporate, Strategic Business and Project Levels. Journal of Structured and Project Finance, Vol. 10, No. 1, pp. 79-85.
Merna, A. and Njiru, C. (1998). Financing and Managing Infrastructure Projects. Asia Law & Practice, Hong Kong.
Merna, A. and Njiru, C. (2002). Financing Infrastructure Projects. Thomas Telford, London.
Merna, A. and Owen, G. (1998). Understanding the Private Finance Initiative – The New Dynamics of Project Finance. Asia Law & Practice, Hong Kong.
Merna, A. and Smith, N.J. (1996). Projects Procured by Privately Financed Concession Contracts, Vols. 1 and 2. Asia Law & Practice, Hong Kong.
Merna, A. and Smith, N.J. (1999). Privately financed infrastructure for the 21st century. Proceedings of the Institution of Civil Engineers. Civil Engineering, Vol. 132, November, pp. 166-173.
Merna, T. (2002). Risk Management at Corporate, Strategic Business and Project Level. MPhil Thesis, UMIST, Manchester.
Merna, T. (2003). Management and Corporate Risk. Appraisal, Risk and Uncertainty, Edited by Smith, N.J. Thomas Telford, London.
Merna, A. and Patel, M. (2000). Quality and the Management of Projects, Technical Paper, Quality World, Vol. 20, Issue 12, December.
Merna, T. and Young, R. (2005). Portfolio Analysis for a Bundle of Investments. BT Conference Paper, Manchester.
Merrett, A.J. and Sykes, A. (1983). The finance and analysis of capital projects, 2nd edition. Longman, London.
Meta Group (2002). The Business of Portfolio Management: Balancing Risk, Innovation and ROI. January, Stamford.
Meulbroek, L. (2002). Integrated Risk Management for the Firm: A Senior Manager’s Guide. Harvard Business School Press, Boston, MA.
Mills, R. and Turner, R. (1995). Project for Shareholders’ Value. The Commercial Project Manager, Edited by Turner, J.R. McGraw-Hill, New York.
Mintzberg, H. (1984). Who Should Control the Corporation? California Management Review, Vol. 27, Fall, pp. 90-115.
Mizuno, A. (1998). Management for Quality Improvement – The 7 New QC Tools. Productivity Press Inc.
Mokhiber, R. and Weissman, R. (2001). Corporate Manslaughter? Common Dreams News Center, 17th March.
Monbiot, G. (2000). Captive State: The Corporate Takeover of Britain, Pan, London. Morris, P.W.G. and Hough, G. (1987). The Anatomy of Major Projects. John Wiley & Sons, Chichester.
Moulis, P. (1992). Is Hidden Rework Draining Company Profits? Quality Vol. 31, No. 5, pp. 15-19.
Mouvement des Entreprises de France (MEDEF) (2003). Proposal for Internal Control Procedure.
Moxley, P. (2003). Let’s Talk about Risk, Internal Audit and Business Risk Magazine.
Munro, E. (2001). The world of project bundling: a dream or a nightmare? PFI Intelligence Bulletin, January.
Nagy, P.J. (1979). Country Risk: Quantify and Monitor it. Euromoney, London.
Nevitt, P.K. (1983). Project Finance, 4th Edition. Bank of America Financial Services, New York.
Newland, K.E. (1992). On behalf of the APM SIG for Risk Management Benefits of Risk Analysis and Management, Project, November.
Newland, K.E. (1997). Benefits of Project Risk Management to an Organisation. International Journal of Project and Business Risk Management, Vol. 1, Issue 1, Spring.
Norris, C. (1992). The Management of Risk in Engineering Projects. MPhil Dissertation, UMIST, Manchester.
Norris, C. et al. (2000). Project Risk Analysis and Management. A Guide by the APM. Association for Project Management, Norwich.
Norton, B.R. and McElligott, W.C. (1995). Value Management in Construction. Macmillan, London.
Oakland, J. and Porter, L. (1995). Total Quality Management: Text with Cases. Butterworth-Heinemann Ltd.
Office of Government Commerce (2002). OGC Guide on Certain Financing Issues in PFI Contracts. Private Finance Unit, 31 July, London.
Oldfield, A. and Ocock, M. (1999). 3rd Annual. Risk Symposium Proceedings, Risk Assessment for Strategic Planning. Project Manager Today, October, p. 358.
Ould, M.A. (1995). Business Process – Modeling and analysis for re-engineering and improvement. John Wiley & Sons, New York.
Oxford English Dictionary (1989). 2nd Edition. Clarendon Press, Oxford.
Parker, H. (1978). Letters to a New Chairman. Director, April-December, p. 265.
Parkinson, J.E. (1993). Corporate Power and Responsibility. Oxford University Press, Oxford.
Pavyer, E. (2005). SOX: A Foot in the Door. Project, Vol. 17, Issue 7, February.
Pearce, J.A. (1982). The Company Mission as a Strategic Tool. Sloan Management Review, Spring, pp. 15-24.
Peterson, R. and Wilson, W. (1985). Perceived Quality: How Consumers View Stores and Merchandise. Lexington Books.
PFI Fact Sheet (2003). Sheet 5: Bundling. Online: www.scotland.gov.uk/pfi/documents/fs5.pdf (April).
Pidgion, N.M.L., Hood, C., Jones, D., Turner, B. and Gibson, R. (1992). Risk: Analysis, Perception and Management. Report of a Royal Society Study Group, London.
Pinkley, R. and Northcroft, G.B. (1994). Conflict Frames of Reference: Implications for dispute processes and outcomes. Academy of Management Journal, Vol. 37, No. 1, pp. 193-205.
PMBOK (1996). A Guide to the Project Management Body of Knowledge. Project Management Institute (PMI), USA.
Pollio, G. (1999). International Project Analysis and Financing. Macmillan, London.
Porter, M.E. (1987). From Competitive Advantage to Corporate Strategy. Harvard Business Review, May/June, pp. 43-59.
Prahalad, C.K. and Hamel, G. (1998). The Core Competence of a Corporation: Strategy Formulation. The Strategy Process, 3rd Edition, Edited by Mintzberg, H. et al. Prentice Hall, Englewood Cliffs, NJ.
Pressinger, C. (2005). Project Portfolio Risk Management – Managing Business Risk Across a Full Portfolio of Strategic Change Programmes within Companies. Unpublished MSc dissertation, University of Manchester, Manchester.
Public Private Partnership-Initiative NRW (2003). Finanzministerium des Landes Nordrhein-Westfalen. Online: http://www.ppp.nrw.de .
Pye, A. (2001). Corporate Boards, Investors and their Relationships: Accounts of accountability and corporate governing in action. Corporate Governance, Vol. 19, No. 3 July.
Rafferty, J. (1994). Risk Analysis in Project Management. E&FN Spon, London.
Rahman, T. (1997). Property Portfolio Construction in the UK Property Market. MSc Dissertation, UMIST, Manchester.
Reichmann, P. (1999). Profile Business. Sunday Times, 7 March, Section 3, p. 6.
Reiss, G. (2000). Information Systems for Programme Management. The Handbook of Project Management, Edited by Lock, D. Gower, Aldershot.
Rescher, N. (1983). Risk: A Philosophical Introduction to the Theory of Risk Evaluation and Management. University Press of America, Lanham, MD.
Rowe, W.D. (1977). An Anatomy of Risk. John Wiley & Sons, New York.
Ruin, J. (2001). Managing Risk Ensures Quality, New Straits Times 2.
Ruster, J. (1996). Mitigating Commercial Risks in Project Finance. Public Policy for the Private Sector, Note 69. World Bank, Washington, DC.
Rutterford, J. and Carter, D. (1988). Handbook of UK Corporate Finance. Butterworths, London.
Sakanda-Kachale, C. (2007). Implementing an Integrated Control Framework at the AfDB, Weighing and Analysing the Importance of a Strong Control Environment in Operational Risk Management. Unpublished MBA Dissertation, University of Manchester.
Samaddar, S. and Heiko, L. (1993). Waste Elimination: the Common Denominator for Improving Operations, Industrial Management, Vol. 93, No. 8, pp. 13-19.
Sandvold, O. (1998). Programme Management: Added Value or Increased Overhead? 14th World Congress on Project Management, Ljubljana, Sloveria, 10-14 June.
Sarbanes-Oxley Act. (2002). Combined Code, original document can be found on the site of the Financial Service Authority.
Sawacha, E. and Langford, D.A. (1984). Project Management and the Public Sector Client: Case studies. Draft Paper CIB-W-65, Bruneil University.
Sealy, T.S. (2001). International Country Risk, May, Vol. XXI, No. 5. The Political Risk Services (IBC USA) Group Inc., New York.
Sebastianelli, R. and Tamimi, N. (2002). How Product Quality Dimensions Relate to Defining Quality. The International Journal of Quality and Reliability Management, Vol. 19, No. 4, pp. 442-453.
Select Committee on Environment, Transport and Regional Affairs, (1999). Memorandum by the Centre for Corporate Accountability, HSE 20.
Sengupta, C. (2004). Financial Modelling Using Excel and VBA. John Wiley and Sons, Hoboken.
Silk, M., Tse, J. and Lui, R. (2002). Portfolio project financing: The Asian perspective. Project Finance International, July, London.
Simister, S.J. (1994). The Usage and Benefits of Project Risk Analysis and Management. International Journal of Project Management, Vol. 12, part 1.
Simon, P. et al. (1997). Project Risk Analysis and Management Guide: PRAM. APM, Norwich.
Sitkin, S.B. and Pablo, A.L. (1992). Re-conceptualising the determinants of risk behaviour. Academy of Management Review, Vol. 17, pp. 9-39.
Skoulaxenou, E. (1994). The Use of Risk Analysis in Project Appraisal. MSc Dissertation, UMIST, Manchester.
Slapper, G. (1999). Blood in the Bank: Social and Legal Aspects of Death at Work. Ashgate, Dartmouth.
Slovic, P. (1967). The Relative Influence of Probabilities and Payoffs upon Perceived Risk of a Gamble. Psychometric Science, pp. 223-224.
Smith, G. (2000). Too Many Types of Quality Problems: Categorizing Your Problems in Solution Relevant Ways. Quality Progress, Vol. 33, No.4, pp. 43-49.
Smith, J.E. (1975). Cash Flow Management. Woodhead-Faulkner, Cambridge.
Smith, N. (1995). Engineering Project Management. Blackwell Science, Oxford.
Smith, N.J. (1999). Managing Risk in Construction Projects. Blackwell Science, Oxford.
Smith, N.J. (2002). Managing Risk in Construction Projects, 2nd Edition. Blackwell, Oxford.
Smith, N.J., Merna, T. and Jobling, P. (2006). Managing Risk in Construction Projects. Blackwell Publishing, Oxford.
Smithson, C.W. (1998). Managing Financial Risk: A guide to derivative products, financial engineering, and value maximization. McGraw-Hill. New York.
Spackman, M. (2002). Public-private partnerships: lessons from the British approach. Economic Systems, London.
Spencer, A. (1983). On the Edge of the Organisation: The role of the outside director. John Wiley & Sons, New York.
Spielman, C. (2004). Basel II for Operational Risk and Sarbanes-Oxley (SOX): Do they Conflict? Available at: http://www.gtnews.com/article/5487.cfm
Sullivan, W.G., Wicks, E.M. and Luxhoj, J.T. (2003). Engineering Economy, 12th Edition. Pearson Education, Englewood Cliffs, NJ.
Sunday Times (2001). Brainstorming the Markets. Business Section, 23 September.
Tassoglou, S. (2006). An Investigation of the Qualitative and Quantitative Tools and Techniques for the Management of Quality Related Issues. Unpublished MSc dissertation, School of MACE, University of Manchester.
Taylor, B. and Hawkins, K. (1972). A Handbook of Strategic Planning. Longman, Harlow.
The Economist (1998). Finance and Economics: Meet the Risk Mongers: Risk Management Moves In-house. 18 July.
The Economist (2001). Risk New Dimension. 29 September.
Thompson, P.A. and Perry, J.G. (1992). Engineering Project Risks-Aguide to project risk analysis and assessment. SERC Project Report, Vol. 15, No 1, London.
Thunell, L.H. (1977). Political Risks in International Business: Investment and Behaviour of Multinational Corporations. Praeger, New York.
Tinsley, R. (2000). Advanced Structured Financing: Structured Risk. Euromoney Books, London.
Toffler, A. (1985). The Adaptive Corporation. Gower, Aldershot.
Traynor, V.T. (1990). Project Risk Analysis. MSc Thesis. UMIST, Manchester.
Tricked, R.I. (1994). International Corporate Governance: Text, Reading and Cases. Prentice Hall, Singapore, p. 9.
Turley, L. (1990). Strategies for Reducing Perceptions of Quality Risk in Services. The Journal of Service Marketing, Vol. 4, No. 3, pp. 5-12.
Turnbull Report (1999). Internal Control: Guide for Directors on the Combined Code. Institute of Chartered Accountants, London, September.
Turner, J.R. (1994). Project Management: Future Development for the Short and Medium Term. International Journal of Project Management, Vol. 12, No. 1, pp. 3-4.
Turner, R. and Simister, J. (2000). The Handbook of Project Management, Edited by D. Lock. Gower, Aldershot.
Tversky, A. and Kahneman, D. (1974). Judgement Under Uncertainty: Heuristics and Biases. Science, pp. 1124-1131.
Vernon, J.D. (1981). An Introduction to Risk Management in Property Development. The Urban Land Institute, Washington, DC.
Verway, A. and Comninos, D. (2002). Management Services: Business Focused Project Management. Journal of the Institute of Management Resources, January, p. 305.
Vienot, M. (July 1999). Rapport sur le Gouvernement d’Entreprise. AFEP, MEDEF.
Wearne, S. and Wright, D. (1998). Organisational Risks of Joint Ventures, Consortia and Alliance Partnerships. International Journal of Project and Business Risk Management, Vol. 2, Issue 1, p. 137.
Werner, F.M. and Stoner, J.A.F. (2002). Mathematical Limitations of the IRR Technique. Fundamentals of Financial Managing. Academic Press, Corvallis, OR.
Wharton, F. (1992). Risk: Analysis, assessment, and management. John Wiley & Sons, Chichester.
Wightman, D. (1998). Justifying Risk Management. International Journal of Project and Business Risk Management, Vol. 2, Issue 1, Spring, pp. 37-44.
Winch, G.M. (2002). Managing Construction Projects: An Information Processing Approach. Blackwell, Oxford.
Witt, E. (1999). Commercial Risk in a Portfolio of Projects. MSc Thesis, UMIST, Manchester.
World Bank (2004). A Regulatory Perspective on Operational Risk. World Bank presentation, 20 May 2004.
Ye, Sun (2006). Risk Pricing for LCC Bank. Unpublished MBA Dissertation, University of Manchester.
Ye, S. and Tiong, R.L.K. (2000). NPV-at-Risk in Infrastructure Project Evaluation.
Journal of Construction Engineering and Management, May/June, pp. 227-233. Yoshimori, M. (1995). Whose Company is it? The Concept of the Corporation in Japan and in the West. Long Range Planning, Vol. 28, pp. 33-45.
Zahra, S.A. and Pearce, J.A. (1989). Board of Directors & Corporate Financial Performance: A Review and Integrative Model. Journal of Management, Vol. 15, pp. 291- 334.
Zeithaml, V., Berry, L. and Parasuraman, A. (1988). Communication and Control Process in the Delivery of Service Quality. Journal of Marketing, Vol. 52, pp. 35-48
Ziegler, L., Harrison, I.R. and Nozewick, A. (1996). Anomalies in Prospect Theory: Risk Perception in Strategic Decision Behaviour. International Seminar on Risk in Human Judgement and Decision Making, Leeds.
..................Content has been hidden....................

You can't read the all page of ebook, please click here login for view all page.
Reset
18.225.209.250