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Risk Management Strategies

Sarvada research, workflows, and commentary focused on risk management strategies.

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124 published articles

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Risk Management Strategies

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September 27, 2026

Risk Management Strategies - May 27, 2026 - 21 min read

Supplier Concentration Risk Mitigation for Indian Corporates: 2026 Metrics, Insurance, and Strategy

How Indian corporates measure and mitigate supplier concentration risk in 2026: Herfindahl index and top-3 dependency metrics, contingent BI cover design for named and unnamed suppliers, supplier financial-health monitoring, dual-sourcing economics, the semiconductor and API import-dependency exposures, and the post-COVID supplier audit framework now operating across mid-market and large-cap corporates.

By Sarvada Editorial Team

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Risk Management Strategies - May 26, 2026 - 23 min read

Business Continuity for East Coast Cyclones 2026: Pre-Season Insurance Alignment for AP, Odisha, and Tamil Nadu Corporates

How corporates in Andhra Pradesh, Odisha, and Tamil Nadu are aligning insurance programmes with cyclone-season business continuity in 2026: IMD Bay of Bengal forecasts, exposure mapping, BCM ISO 22301 alignment, pre-event playbooks for shutdown, inventory relocation, and payroll, with insurance triggers across BI, contingent BI, marine accumulation, and lessons from Fani, Yaas, and Mocha.

By Tarun Kumar Singh

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Risk Management Strategies - May 26, 2026 - 19 min read

Business Continuity Planning for the 2026 Monsoon: A Corporate India Refresh

A pre-monsoon BCP refresh framework for corporate India ahead of the 2026 southwest monsoon: dependency mapping for single-source suppliers and single-site operations, alternate-site arrangements, IMD seasonal forecast integration, 2024 Wayanad and Chennai shutdown lessons, BI cover alignment, and the broker role in BCP-driven insurance design.

By Sarvada Editorial Team

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Risk Management Strategies - May 25, 2026 - 18 min read

Enterprise Risk Register for Mid-Market Indian Corporates: 2026 Design and Operating Framework

A design and operating guide to the enterprise risk register for Indian mid-market corporates with INR 500 to 5,000 crore turnover: ERM framework selection, register design, likelihood and impact scoring, the top 15 commercial risks, board reporting cadence under Companies Act Section 134(3)(n), and the NFRA and SEBI scrutiny that has reshaped risk reporting practice.

By Sarvada Editorial Team

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Risk Management Strategies - May 22, 2026 - 23 min read

Drafting a Risk Appetite Statement for Mid-Cap Indian Corporates 2026: Insurance, Retention, and Board Sign-Off

The risk appetite statement is the document that translates board-level tolerance into operational risk and insurance decisions. The 2026 best practice for Indian mid-cap corporates uses ISO 31000 and COSO ERM frameworks, qualitative and quantitative thresholds calibrated to balance sheet, retention versus transfer mapping, and SEBI LODR Regulation 4(2)(f) board sign-off.

By Tarun Kumar Singh

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Risk Management Strategies - May 21, 2026 - 19 min read

ISO 22301 Business Continuity Management for Indian Corporates: BIA to Coverage Mapping, RTO and RPO Versus BI Indemnity Periods, and Parametric BCM Triggers

An implementation playbook for ISO 22301:2019 Business Continuity Management Systems at Indian corporates, with explicit alignment to the insurance programme. Covers BIA methodology mapped to BI sums insured, RTO and RPO calibration against indemnity periods, and the emerging use of parametric structures as BCM activation triggers.

By Sarvada Editorial Team

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Risk Management Strategies - May 20, 2026 - 21 min read

Building an Enterprise Risk Framework for Indian Mid-Cap Manufacturers: Register Design, Control Self-Assessment, and Insurance-Procurement Integration

A practitioner playbook for ERM implementation at Indian mid-cap manufacturers with revenues of INR 500 to 5,000 crore. Covers risk register architecture, control self-assessment methodology, board-level operational risk committee design, and the integration of risk findings into the annual insurance procurement cycle.

By Sarvada Editorial Team

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Risk Management Strategies - May 5, 2026 - 13 min read

Infectious Disease and Pandemic Business Interruption Insurance in India

Standard SFSP-based business interruption policies exclude pandemic losses because they require a physical damage trigger. This guide examines what coverage is realistically available to Indian companies after COVID-19, from non-damage BI extensions and parametric pandemic products to supply chain covers and IRDAI's evolving stance on standard pandemic products.

By Sarvada Editorial Team

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Risk Management Strategies - April 18, 2026 - 6 min read

Water Stress and Groundwater Shutdown Risk: Insurance Planning for Indian Factories Facing Extraction Curbs

Manufacturing plants across India are discovering that groundwater depletion, pollution enforcement, and seasonal allocation curbs can interrupt production without a classic fire or machinery event, forcing risk managers to rethink captives, contingent supply arrangements, environmental liability, and the narrow limits of ordinary property and business interruption cover.

By Tarun Kumar Singh

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