Maria Zhivitskaya completed a PhD in Risk Management from the LSE Accounting Department in 2015, worked for Goldman Sachs afterwards, and currently works for Prudential plc.
In Doughnut Economics: Seven Ways to Think Like a 21st-Century Economist, Kate Raworth offers a new model for economics, […]
Book Review: The Fix: How Bankers Lied, Cheated and Colluded to Rig the World’s Most Important Number by Liam Vaughan and Gavin Finch
In The Fix: How Bankers Lied, Cheated and Colluded to Rig the World’s Most Important Number, Liam Vaughan and […]
Book Review: Why Aren’t They Shouting? A Banker’s Tale of Change, Computers and Perpetual Crisis by Kevin Rodgers
In Why Aren’t They Shouting? A Banker’s Tale of Change, Computers and Perpetual Crisis, Kevin Rodgers, former global head […]
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Missed any of February 2016’s LSE Space for Thought Literary Festival? This year’s event, which ran between Monday 22nd […]
In You Don’t Have to Live Like This, a novel by Benjamin Markovits, disenchanted academic Greg Marnier is given […]
Book Review: Managing Risk and Opportunity: the Governance of Strategic Risk Taking by Torben Juul Andersen et al.
This volume focuses on contemporary risk leadership issues based on recent research insights, but aims to avoid excessive technical […]
Over a period of several centuries, the academic study of risk has evolved as a distinct body of thought, […]