Soviet Risk-Taking and Crisis Behavior: A Theoretical and Empirical Analysis
Soviet Risk-Taking and Crisis Behavior, first published in 1982, examines the question: for what purposes and under what conditions were Soviet leaders prepared to take risks in international relations? The first part of the book sets out to define the concept of risk and to examine its analytical relevance for foreign policy, its measurement and its relation to the dynamics of crisis. The second part consists of in-depth analysis of Soviet behavior in the Berlin crises of 1948 and 1961. The third and last part compares Soviet policy in the two crises, and the actions of the two different leaderships, as well as relating it to Soviet behavior in other geographical areas.

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Soviet Risk-Taking and Crisis Behavior: A Theoretical and Empirical Analysis
Soviet Risk-Taking and Crisis Behavior, first published in 1982, examines the question: for what purposes and under what conditions were Soviet leaders prepared to take risks in international relations? The first part of the book sets out to define the concept of risk and to examine its analytical relevance for foreign policy, its measurement and its relation to the dynamics of crisis. The second part consists of in-depth analysis of Soviet behavior in the Berlin crises of 1948 and 1961. The third and last part compares Soviet policy in the two crises, and the actions of the two different leaderships, as well as relating it to Soviet behavior in other geographical areas.

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Soviet Risk-Taking and Crisis Behavior: A Theoretical and Empirical Analysis

Soviet Risk-Taking and Crisis Behavior: A Theoretical and Empirical Analysis

by Hannes Adomeit
Soviet Risk-Taking and Crisis Behavior: A Theoretical and Empirical Analysis

Soviet Risk-Taking and Crisis Behavior: A Theoretical and Empirical Analysis

by Hannes Adomeit

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Overview

Soviet Risk-Taking and Crisis Behavior, first published in 1982, examines the question: for what purposes and under what conditions were Soviet leaders prepared to take risks in international relations? The first part of the book sets out to define the concept of risk and to examine its analytical relevance for foreign policy, its measurement and its relation to the dynamics of crisis. The second part consists of in-depth analysis of Soviet behavior in the Berlin crises of 1948 and 1961. The third and last part compares Soviet policy in the two crises, and the actions of the two different leaderships, as well as relating it to Soviet behavior in other geographical areas.


Product Details

ISBN-13: 9781032340463
Publisher: Taylor & Francis
Publication date: 06/15/2024
Series: Routledge Library Editions: Soviet Foreign Policy
Pages: 388
Product dimensions: 6.12(w) x 9.19(h) x (d)

Table of Contents

Part 1. Theory 1. Risk and Risk-Taking 2. A Chess Game Named Disaster 3. Pandora’s Marble Pot 4. Crisis and Risk in International Relations 5. Soviet Risk-Taking and Crisis Behavior: Wisdoms and Conventional Wisdoms Part 2. Case Studies 2.1. The Berlin Crisis of 1948 6. Interpretations, Ambiguities and Questions 7. Evolution of the Crisis: Events, Perceptions, Risks and Stages of Development 8. Factors of Risk-Taking 9. 1948: Process Analysis 10. 1948: Consequences, Conclusions and Lessons 2.2. The Berlin Crisis of 1961 11. Interpretations, Ambiguities and Questions 12. Evolution of the Crisis: Events, Perceptions, Risks and Stages of Development 13. Factors of Risk-Taking 14. Process Analysis 15. Consequences, Conclusions and Lessons Part 3. Comparisons and Conclusions 16. Operational Principles of Soviet Risk-Taking and Crisis Behavior 17. Factors of Soviet Risk-Taking and Crisis Behavior

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