ARMOR-CAP (Allocation for Resilient Markets and Operational Readiness-Capital Allocation Protection) is the first comprehensive framework that enables asset owners, portfolio managers, and policymakers to quantify, score, and actively manage strategic fragility, going far beyond today's Environmental, Social, and Governance (ESG) labels and enterprise risk checklists.
The global investment industry is waking up to a harsh reality: efficiency-first capitalism has left portfolios vulnerable in the face of geopolitical fractures, supply chain disruptions, cyber vulnerabilities, climate extremes, and sudden regulatory realignments. Drawing on 50 years of research in portfolio theory, financial economics, operations management, and national resilience strategy, this book:
With its blend of rigorous analytics, stylized governance scenarios, and playbook-ready templates, ARMOR-CAP equips institutional investors to transform structural fragility from a hidden liability into a measurable source of long-term resilience and competitive advantage.
Contents:
- Preface
- About the Author
- Acknowledgments
- The Protection Imperative: From Fragility to Strategic Readiness
- Unseen Fault Lines: Mapping Systemic Fragility in Capital Markets
- From Concept to Pillars: Engineering Resilient Capital with ARMOR-CAP
- From Framework to Function: The ARMOR-CAP Diagnostic Toolkit
- Portfolio Integration of ARMOR-CAP
- Embedding ARMOR-CAP into Institutional Governance
- Operationalizing Resilience Across Mandates
- Field Scenarios and Implementation Lessons
- Interpreting ARMOR-CAP Scores: Benchmarking, Trajectories, and Strategic Translation
- Appendices:
- Glossary of ARMOR-CAP Terms and Governance Concepts
- Methodology Notes and Data Considerations
- ARMOR-CAP Domain Definitions and Scoring Rubric
- Methodological Foundations of the ARMOR-CAP Framework
- Bibliography
- Author Index
- Subject Index
Readership: CIOs, risk officers, strategists, and portfolio managers at pension funds, insurers, sovereign wealth funds (SWFs), and large asset-management firms; graduate finance programs (risk management, sustainable investing). Also policymakers in financial-stability units, credit-rating analysts, consulting firms, and advanced undergraduates in investments or international finance.
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