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Publications

RISK MANAGEMENT

Allio, R. J. and Sheehan, D., “Allocating R&D Resources Effectively,” Vol. 27, No. 4, July-August, 1984, pp. 14-20

Brehm, H. E., “Product Safety,” Vol. 21, No. 1, January, 1978, pp. 21-23

Brockhoff, K., Chakrabarti, A. K. and Kirschgoerg, M., “Corporate Strategies in Environmental Management,” Vol. 42, No. 4, July-August, 1999, pp. 26-30

Bunch, P. R., “Modeling Resource Requirements for Pharmaceutical R&D,” Vol. 45, No. 1, January-February, 2002, pp. 48-56

Cantrall, E. W., “Laboratory Practices, Regulations and Laboratory Accreditation,” Vol. 21, No. 1, January, 1978, pp. 17-20

Chenea, P. F., “The Costs and Effects of Regulations,” Vol. 20, No. 2, March, 1977, pp. 22-26

Coates, J. F., “Confronting the Risks to Your Business,” Vol. 37, No. 1, January-February, 1994, pp. 13-14

Coburn, M. M., “Supporting Strategy with Competitive Analysis,” Vol. 45, No. 5, September-October, 2002, pp. 43-47

Coleman, B. P., “Research Manpower Resources Planning,” Vol. 16, No. 4, July, 1973, pp. 28-32

Davis, J., Fusfeld, A., Scriven, E. and Tritle, G., “Determining a Project’s Probability of Success,” Vol. 44, No. 3, May-June, 2001, pp. 51-57

Edwards, C. C., “The Role of Government and FDA Regulations in Drug R&D,” Vol. 17, No. 2, March, 1974, pp. 21-23

Ewing Jr., K. P., “Joint Research, Antitrust, and Innovation,” Vol. 24, No. 2, March, 1981, pp. 25-29

Faust, R. E., “The Impact of Economic Restraints on R&D Management,” Vol. 25, No. 6, November, 1982, pp. 13-16

Foster, R. N. and Gluck, F. W., “Impact of Antitrust and Regulatory Actions on Progress of Technology,” Vol. 18, No. 4, July, 1975, pp. 7-10

Frohman, A. L., “Mismatch Problems in Managing Professionals,” Vol. 21, No. 5, September, 1978, pp. 20-25

Germeraad, P. B. and Morrison, L., “How Avery Dennison Manages Its Intellectual Assets,” Vol. 41, No. 6, November-December, 1998, pp. 36-43

Gibson, T. J., “The Lawyers Are Coming! The Lawyers Are Coming!,” Vol. 33, No. 6, November-December, 1990, pp. 7-9

Gillette, D., “How Regulations Encourage and Discourage Innovation,” Vol. 20, No. 2, March, 1977, pp. 18-21

Golberg, L., “The Safe and Effective Issue: A Scientist's View,” Vol. 19, No. 2, March, 1976, pp. 10-13

Graef, J., “Getting the Most from R&D Information Services, Vol. 41, No. 4, July-August, 1998, pp. 44-47

Grant, K. P., Cashman, W.M. and Christensen, D.S., “Delivering Projects on Time,” Vol. 49, No. 6, November –December, 2006, pp. 52-58

Greenfield, S. M., “Incentives and Disincentives of EPA Regulations,” Vol. 17, No. 2, March, 1974, pp. 11-14

Hall, R. L., “Food Safety and Risk/Benefit,” Vol. 24, No. 1, January, 1981, pp. 28-35

Hatch, O. G., “The Unfavorable Governmental Climate for R&D,” Vol. 21, No. 2, March, 1978, pp. 16-18

Hislop, J. K., “Influencing the Legislative Process,” Vol. 18, No. 2, March, 1975, pp. 34-37

Hussey, E.O., “Developing and Marketing a Safe Product,” Vol. 18, No. 2, March, 1975, pp. 20-22

Industrial Research Institute, “Position Statement on Impact of Regulation on Innovation,” Vol. 22, No. 5, September, 1979, pp. 41-42

Jaeschke, W. C., “The Toxic Substances Control Act,” Vol. 21, No. 1, January, 1977, pp. 14-16

Key, M. M., “R&D for Occupational Safety and Health Standards,” Vol. 17, No. 2, March, 1974, pp. 24-27

Kushner, L., “Consumer Product Safety Commission: What It Is and What It’s Doing,” Vol. 18, No. 2, March, 1975, pp. 12-15

Laubach, G. D., “The Pharmaceutical/Health Industry,” Vol. 24, No. 2, March, 1981, pp. 9-11

MacMillan, I. C., “Crafting R&D Project Portfolios,” Vol. 45, No. 5, September-October, 2002, pp. 48-59

MacMillian, I. C., van Patten, A. B., McGrath, R. G. and Thompson, J. D., “Using Real Options Discipline for Highly Uncertain Technology Investments,” Vol. 49, No. 1, January-February, 2005, pp. 29-37

Manners Jr., G. E. and Nason, H. K., “The Decline in Industrial Research: Causes and Cures,” Vol. 21, No. 5, September, 1978, pp. 8-11

Markham, S. K., Gentry, S. T., Hume, D., Ramachandran, R. and Kingon, A. I., “Strategies and Tactics for External Corporate Venturing,” Vol. 48, No. 2, March-April, 2005, pp. 60-61

Mort, J. and Knapp, J., “Integrating Workspace Design, Web-Based Tools and Organizational Behavior,” Vol. 42, No. 2, March-April, 1999, pp. 33-40

Nason, H. K., “Perception of Barriers to Innovation,” Vol. 20, No. 1, January, 1977, pp. 17-20

Ochs, D. L., “Complying with Human and Animal Research Regulations,” Vol. 24, No. 5, September, 1981, pp. 38-40

Placet, M., Anderson, R. and Fowler, K. M., “Strategies for Sustainability,” Vol. 48, No. 5, September-October, 2005, pp. 32-41

Quinn, J. B., “National Policies for Science & Technology – New Approaches for New Public Needs,” Vol. 20, No. 6, November, 1977, pp. 11-18

Rathmann, G. B., “Meeting the Global Challenge in Biotechnology,” Vol. 29, No. 5, September-October, 1986, pp. 36-42

Reinhardt, C. F., “Upgrading Testing and Evaluation for Regulatory Standards,” Vol. 20, No. 2, March, 1977, pp. 27-29

Rich, L. A., “How Environmental Pressures are Affecting the R&D Function,” Vol. 36, No. 5, September-October, 1993, pp. 16-23

Rizzuto, R. J. and Cook, T. J., “How R&D Money is Spent,” Vol. 31, No. 1, January-February, 1988, pp. 34-38

Rushton, B. M., “How Protecting the Environment Impacts R&D in the United States,” Vol. 36, No. 3, May-June, 1993, pp. 13-21

Russell, M., “Learning to Manage Risk,” Vol. 29, No. 4, July-August, 1986, pp. 12-16

Sarett, L. H., “FDA Regulations and Their Influence on Future R&D,” Vol. 17, No. 2, March, 1974, pp. 18-20

Schweitzer, G. E., “Regulations, Technological Progress and Societal Interests,” Vol. 20, No. 2, March, 1977, pp. 13-17

Skalka, A. M., “Recombinant DNA Research,” Vol. 21, No. 1, January, 1978, pp. 9-13

Spradlin, T. and Kutoloski, D.M., “Action-Oriented Portfolio Management,” Vol. 42, No. 2, March-April, 1999, pp. 26-32

Stevens, T., “Putting Prognostication to Work,” Vol. 47, No. 5, September-October, 2004, pp. 46-50

Tepper, L. B., “The Safe and Effective Issue – A Regulator’s View,” Vol. 19, No. 2, March, 1976, pp. 7-9

Throdahl, M. C., “How Regulatory Authority Affects Company Operations,” Vol. 17, No. 2, March, 1974, pp. 15-17

U.S. Dept. of Justice, “Antitrust Guide for Joint Research Programs,” Vol. 24, No. 2, March, 1981, pp. 30-37

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