Critical Issues in Business Management
This assignment should be in the form of a portfolio made up of the four tasks below, in relation to the 200-2008 global financial crisis.
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The global financial crisis or global economic crisis is commonly believed to have begun in July 2007 with the credit crunch, when a loss of confidence by US investors in the value of sub-prime mortgages caused a liquidity crisis. This, in turn, resulted in the US Federal Bank injecting a large amount of capital into financial markets. By September 2008, the crisis had worsened as stock markets around the globe crashed and became highly volatile. Consumer confidence hit rock bottom as everyone tightened their belts in fear of what could lie ahead.
1) Identify and analyse the main causes of the economic crisis 2007-2008 (500 words max.)
2) Critically evaluate the effectiveness of tools used for forecasting events and predicting crises in the business environment.
3) Discuss in terms of strategic crisis management theory, what organisations need to do prior, during, and after such an event to survive and perhaps thrive.
4) Discuss the leadership lessons that senior management should take away from the consequences of the financial crisis
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