Professor Kaiser Risk Management Consulting
Risk Management is about Managing Risk
 

Planned Conferences, Seminars, Webinars and so forth:


16 May 2024

24 September 2024 (tbc)

OpRisk Forum, Cologne - Panel moderator

ESG Risk Forum, Cologne - Co-organizer & Moderator



 

Latest Book: Praxis des Non-Financial Risk Managements im Finanzsektor, Author - order here

Published in October 2023 by Springer Gabler Verlag, Wiesbaden

Book Effektives Management von ESG-Risiken in Finanzinstituten, Co-Editor


Published in November 2022 by Erich Schmidt Verlag, Berlin

Contributions from about 30 well-known authors from institutions like Aareal Bank, Deutsche Börse, Deutsche Bundesbank, DZ BANK and UNEP FI as well as leading consultants and further practitioners and academics on a broad range of topics on ESG risk management.



Book Non-Financial Risk Management: Emerging Stronger After COVID-19, Editor


Published in November 2021 by RiskBooks, London

Contributions from about 40 well-known authors from institutions like Allianz, Bundesbank, Commonwealth Bank of Australia, Deutsche Bank, European Investment Bank etc. as well as leading consultants and further practitioners and academics on a broad range of topics on Non-Financial Risk Management.


Recent Publications, Selection

„Und jetzt ist es wieder braun… Wechselwirkungen zwischen ESG-Risiken und Non-Financial Risk“, FIRM Jahrbuch 2023
„ESG Risk Management – Herausforderungen und Lösungsansätze“ (mit Laura Mervelskemper), DIE BANK, 10-2022

„Risikomanagement sollte vom Ende her gedacht werden“, DIE BANK, 4-2022

„Babylonial confusion - Types, subtypes and aberrations of non-financial risk“, FIRM Yearbook 2022

„Fighting COVID-19 in countries and OpRisk in banks - similarities in risk management processes“, Journal of Operational Risk, Vol. 16/4, 2021

„Psychologische Effekte im Non-Financial Risk Management“ (with Mareike Reus), DIE BANK, 4-2021

„COVID-19: Impacts on non-financial risks and ESG risks“, FIRM Yearbook 2021

„Strategie und Governance als Grundlage effektiven Risikomanagements“ (with Mark Wahrenburg), Handbuch Corporate Governance von Banken und Versicherungen, Verlag C. H. Beck, München 2020

Influences of agile structures on management of nonfinancial risk“, FIRM Yearbook 2020
„Risk Culture as a means of mitigating Conduct Risk. Similarities with and differences to the China Social Credit System“ (with Tatjana Schulz) in Social Credit Rating, Springer Verlag, Wiesbaden 2020
„Banken in Deutschland nehmen Risikokultur ernst“, Börsenzeitung, 24.12.2019
„Risikokultur als Bindeglied zwischen Non-Financial und Financial Risks“, Zeitschrift für das gesamte Kreditwesen, 6-2019
Reputational risks, step-in risks and climate related risks as catalysts in the risk landscape“, FIRM Yearbook 2019
„Rechtzeitig Regeln schaffen und das Risiko beleuchten“, DIE BANK, 6-2019