@incollection{, D72624EFE886BECC6D4C616233F1BE52 , author={{Pratheepkanth} and {Dr.Nimalathasan} and {University of Jaffna, Jaffna, Sri Lanka.}}, journal={{Global Journal of Management and Business Research}}, journal={{GJMBR}}2249-45880975-585310.34257/GJMBR, address={Cambridge, United States}, publisher={Global Journals Organisation}12174143 } @incollection{b0, , title={{What Do Practitioners Want?}} , author={{ ECopeland }} , journal={{Journal of Applied Finance}} , year={2002} } @incollection{b1, , title={{Capital asset prices: A theory of market equilibrium under conditions of risk}} , author={{ WFSharpe }} , journal={{Journal of Finance}} 19 , year={1964} } @incollection{b2, , title={{Embedding risk management: structures and approaches}} , author={{ WHenry }} , journal={{Managerial Auditing Journal}} , year={2007} } @incollection{b3, , title={{The Insurance and Risk Management Industries: New Players in the Delivery of Energy-Efficient Products and Services}} , author={{ Lawrence }} , journal={{Journal of Financial Economics}} 27 , year={1992} } @incollection{b4, , title={{Perspectives on Strategic Risk Management}} , author={{ Majluf }} , journal={{International Journal of Applied Management and Technology}} , year={1984} } @incollection{b5, , title={{Corporate Risk Management as a Lever for Shareholder Value Creation}} , author={{ WKim }} , journal={{Corporate Finance Journal}} , year={1982} , note={investors to achieve the standard and take better investment decisions} }