6th International Finance Conference on financial crisis and governance /:
Financial markets, the banking system, and the real estate, commodity and energy markets have, since 2007, been experiencing higher integration, more volatility and have undergone several shocks. More coordination is needed between G20 and market authorit.
Gespeichert in:
Körperschaft: | |
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Weitere Verfasser: | , |
Format: | Elektronisch Tagungsbericht E-Book |
Sprache: | English |
Veröffentlicht: |
Newcastle upon Tyne :
Cambridge Scholars,
2011.
|
Schlagworte: | |
Online-Zugang: | Volltext |
Zusammenfassung: | Financial markets, the banking system, and the real estate, commodity and energy markets have, since 2007, been experiencing higher integration, more volatility and have undergone several shocks. More coordination is needed between G20 and market authorit. |
Beschreibung: | 1 online resource (xi, 785 pages) : illustrations, map |
Bibliographie: | Includes bibliographical references. |
ISBN: | 9781443833127 1443833126 |
Internformat
MARC
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111 | 2 | |a International Finance Conference (Tunisia) |n (6th : |d 2011 : |c Ḥammāmāt, Tunisia) | |
245 | 1 | 0 | |a 6th International Finance Conference on financial crisis and governance / |c edited by Mondher Bellalah and Omar Masood. |
260 | |a Newcastle upon Tyne : |b Cambridge Scholars, |c 2011. | ||
300 | |a 1 online resource (xi, 785 pages) : |b illustrations, map | ||
336 | |a text |b txt |2 rdacontent | ||
337 | |a computer |b c |2 rdamedia | ||
338 | |a online resource |b cr |2 rdacarrier | ||
504 | |a Includes bibliographical references. | ||
588 | 0 | |a Print version record. | |
505 | 0 | |a TABLE OF CONTENTS; PART 1; THE PERFORMANCE OF HYBRID MODELS IN THE ASSESSMENT OF DEFAULT RISK; EXCESS VOLATILITY AND BEHAVIOURAL FEATURES SURROUNDING THE CRISIS PERIOD; BASEL III; "PSYCHOMETRIC" INDICES AND THE PREDICTION OF FINANCIAL BUBBLES; THE GOVERNANCE OF PORTS IN THE MEDITERRANEAN; SOLVENCY AND VALUATION OF BANKS; PART 2; WHAT DRIVES IFDIS IN THE NIGERIAN BANKING INDUSTRY?; IMPACT OF MACROECONOMIC FACTORS ON STOCK EXCHANGE PRICES; OIL PRICE FLUCTUATIONS AND EQUITY RETURNS IN NET OIL-EXPORTING COUNTRIES; THE INFLUENCE OF INSTITUTIONAL HOLDINGS ON THE STRATEGIC ORIENTATIONS OF BUSINESSES | |
505 | 8 | |a BACK TO ACCOUNTING BASICS FINANCIAL CRISIS? FOR AN OPTIMISTIC VIEW OF GROWTH; PART 3; VALUABLE DECISIONS AND INFORMATION; TEST OF THE CUMULATIVE PROSPECTS THEORY; A SCENARIO-BASED APPROACH TO EVALUATE SUPPLY CHAIN NETWORKS; VOLATILITY SPILLOVER AMONG ISLAMIC AND OTHERS; THE MULTIPLE STRADDLE CARRIER ROUTING PROBLEM; PART 4; SOVEREIGN DEBT CRISIS AND CREDIT DEFAULT SWAPS; BOND SENSITIVITIES AND INTEREST RATE RISKS; CREDIT CRISIS AND THE COLLAPSE OF ARS MARKET; BEYOND THE EMU CRISIS; THE IMPACT OF THE QUALITATIVE FACTORS ON ETHICS JUDGMENTS OF MATERIALITY IN AUDIT; PART 5 | |
505 | 8 | |a DOES CO-INTEGRATION AND CAUSAL RELATIONSHIP EXIST BETWEEN THE NON-STATIONARY VARIABLES FOR CHINESE BANKS PROFITABILITY? EMPIRICAL EVIDENCEINTERACTIONS BETWEEN FREE CASH FLOW, DEBT POLICY AND STRUCTURE OF GOVERNANCE; FINANCING CONSTRAINTS THEORY; THE DETERMINANTS OF THE NEW VENTURE DECISION IN TUNISIA; COMPARABILITY OF FINANCIAL INFORMATION AND SEGMENTAL REPORTING; PART 6; THE KNOWLEDGE STRUCTURE OF FRENCH MANAGEMENT CONTROL RESEARCH; ANALYSIS OF MANAGERS' USE OF MANAGEMENT ACCOUNTING; "THE DRAFT AMENDMENT TO STANDARD IAS18 REGARDING THE CAPITALIZATION OF PROCEEDS FROM NORMAL ACTIVITIES" | |
505 | 8 | |a MANAGEMENT CONTROL THROUGH COMMUNICATION ORGANIZATIONAL LEARNING AND KNOWLEDGE DEVELOPMENT PECULIARITIES IN SMALL AND MEDIUM FAMILY ENTERPRISES; THE CASE AS A RESEARCH TOOL IN MANAGEMENT SCIENCES; PART 7; SYARIAH ACCOUNTING AND COMPLIANT SCREENING PRACTICES; ISLAMIC FINANCE, ENERGY SECTOR AND FINANCIAL INNOVATIONS; SUKUKS; THE PERFORMANCE OF ISLAMIC CAPITAL MARKET AND MAXIMIZATION OF THE WEALTH OF SHARE HOLDERS AND VALUE OF COMPANY; ISLAMIC FINANCE OUTSIDE THE MUSLIM WORLD; A COMPARISON OF LEVERAGE AND PROFITABILITY BETWEEN ISLAMIC AND CONVENTIONAL BANKS | |
520 | |a Financial markets, the banking system, and the real estate, commodity and energy markets have, since 2007, been experiencing higher integration, more volatility and have undergone several shocks. More coordination is needed between G20 and market authorit. | ||
650 | 0 | |a International finance |v Congresses. | |
650 | 0 | |a Financial institutions, International |x Management |v Congresses. | |
650 | 0 | |a Financial crises |v Congresses. | |
650 | 0 | |a Financial risk management |v Congresses. | |
650 | 6 | |a Institutions financières internationales |x Gestion |v Congrès. | |
650 | 6 | |a Finances |x Gestion du risque |v Congrès. | |
650 | 7 | |a Economics, finance, business & management. |2 bicssc | |
650 | 7 | |a Labour economics. |2 bicssc | |
650 | 7 | |a International business. |2 bicssc | |
650 | 7 | |a BUSINESS & ECONOMICS |x Finance. |2 bisacsh | |
650 | 7 | |a Financial crises |2 fast | |
650 | 7 | |a Financial institutions, International |x Management |2 fast | |
650 | 7 | |a Financial risk management |2 fast | |
650 | 7 | |a International finance |2 fast | |
655 | 7 | |a Conference papers and proceedings |2 fast | |
700 | 1 | |a Bellalah, Mondher. | |
700 | 1 | |a Masood, Omar. | |
758 | |i has work: |a 6th International Finance Conference on financial crisis and governance (Text) |1 https://id.oclc.org/worldcat/entity/E39PCGQfyrTMYkTmFfCrBXXTVy |4 https://id.oclc.org/worldcat/ontology/hasWork | ||
776 | 0 | 8 | |i Print version: |a International Finance Conference (Tunisia) (6th : 2011 : Ḥammāmāt, Tunisia). |t 6th International Finance Conference on Financial Crisis and Governance. |d Newcastle upon Tyne : Cambridge Scholars, 2011 |z 9781443833080 |w (OCoLC)751835450 |
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Datensatz im Suchindex
DE-BY-FWS_katkey | ZDB-4-EBA-ocn838124368 |
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adam_text | |
any_adam_object | |
author2 | Bellalah, Mondher Masood, Omar |
author2_role | |
author2_variant | m b mb o m om |
author_corporate | International Finance Conference (Tunisia) Ḥammāmāt, Tunisia) |
author_corporate_role | |
author_facet | Bellalah, Mondher Masood, Omar International Finance Conference (Tunisia) Ḥammāmāt, Tunisia) |
author_sort | International Finance Conference (Tunisia) Ḥammāmāt, Tunisia) |
building | Verbundindex |
bvnumber | localFWS |
callnumber-first | H - Social Science |
callnumber-label | HG3881 |
callnumber-raw | HG3881 |
callnumber-search | HG3881 |
callnumber-sort | HG 43881 |
callnumber-subject | HG - Finance |
collection | ZDB-4-EBA |
contents | TABLE OF CONTENTS; PART 1; THE PERFORMANCE OF HYBRID MODELS IN THE ASSESSMENT OF DEFAULT RISK; EXCESS VOLATILITY AND BEHAVIOURAL FEATURES SURROUNDING THE CRISIS PERIOD; BASEL III; "PSYCHOMETRIC" INDICES AND THE PREDICTION OF FINANCIAL BUBBLES; THE GOVERNANCE OF PORTS IN THE MEDITERRANEAN; SOLVENCY AND VALUATION OF BANKS; PART 2; WHAT DRIVES IFDIS IN THE NIGERIAN BANKING INDUSTRY?; IMPACT OF MACROECONOMIC FACTORS ON STOCK EXCHANGE PRICES; OIL PRICE FLUCTUATIONS AND EQUITY RETURNS IN NET OIL-EXPORTING COUNTRIES; THE INFLUENCE OF INSTITUTIONAL HOLDINGS ON THE STRATEGIC ORIENTATIONS OF BUSINESSES BACK TO ACCOUNTING BASICS FINANCIAL CRISIS? FOR AN OPTIMISTIC VIEW OF GROWTH; PART 3; VALUABLE DECISIONS AND INFORMATION; TEST OF THE CUMULATIVE PROSPECTS THEORY; A SCENARIO-BASED APPROACH TO EVALUATE SUPPLY CHAIN NETWORKS; VOLATILITY SPILLOVER AMONG ISLAMIC AND OTHERS; THE MULTIPLE STRADDLE CARRIER ROUTING PROBLEM; PART 4; SOVEREIGN DEBT CRISIS AND CREDIT DEFAULT SWAPS; BOND SENSITIVITIES AND INTEREST RATE RISKS; CREDIT CRISIS AND THE COLLAPSE OF ARS MARKET; BEYOND THE EMU CRISIS; THE IMPACT OF THE QUALITATIVE FACTORS ON ETHICS JUDGMENTS OF MATERIALITY IN AUDIT; PART 5 DOES CO-INTEGRATION AND CAUSAL RELATIONSHIP EXIST BETWEEN THE NON-STATIONARY VARIABLES FOR CHINESE BANKS PROFITABILITY? EMPIRICAL EVIDENCEINTERACTIONS BETWEEN FREE CASH FLOW, DEBT POLICY AND STRUCTURE OF GOVERNANCE; FINANCING CONSTRAINTS THEORY; THE DETERMINANTS OF THE NEW VENTURE DECISION IN TUNISIA; COMPARABILITY OF FINANCIAL INFORMATION AND SEGMENTAL REPORTING; PART 6; THE KNOWLEDGE STRUCTURE OF FRENCH MANAGEMENT CONTROL RESEARCH; ANALYSIS OF MANAGERS' USE OF MANAGEMENT ACCOUNTING; "THE DRAFT AMENDMENT TO STANDARD IAS18 REGARDING THE CAPITALIZATION OF PROCEEDS FROM NORMAL ACTIVITIES" MANAGEMENT CONTROL THROUGH COMMUNICATION ORGANIZATIONAL LEARNING AND KNOWLEDGE DEVELOPMENT PECULIARITIES IN SMALL AND MEDIUM FAMILY ENTERPRISES; THE CASE AS A RESEARCH TOOL IN MANAGEMENT SCIENCES; PART 7; SYARIAH ACCOUNTING AND COMPLIANT SCREENING PRACTICES; ISLAMIC FINANCE, ENERGY SECTOR AND FINANCIAL INNOVATIONS; SUKUKS; THE PERFORMANCE OF ISLAMIC CAPITAL MARKET AND MAXIMIZATION OF THE WEALTH OF SHARE HOLDERS AND VALUE OF COMPANY; ISLAMIC FINANCE OUTSIDE THE MUSLIM WORLD; A COMPARISON OF LEVERAGE AND PROFITABILITY BETWEEN ISLAMIC AND CONVENTIONAL BANKS |
ctrlnum | (OCoLC)838124368 |
dewey-full | 332.042 |
dewey-hundreds | 300 - Social sciences |
dewey-ones | 332 - Financial economics |
dewey-raw | 332.042 |
dewey-search | 332.042 |
dewey-sort | 3332.042 |
dewey-tens | 330 - Economics |
discipline | Wirtschaftswissenschaften |
format | Electronic Conference Proceeding eBook |
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genre | Conference papers and proceedings fast |
genre_facet | Conference papers and proceedings |
id | ZDB-4-EBA-ocn838124368 |
illustrated | Illustrated |
indexdate | 2024-11-27T13:25:17Z |
institution | BVB |
isbn | 9781443833127 1443833126 |
language | English |
oclc_num | 838124368 |
open_access_boolean | |
owner | MAIN DE-863 DE-BY-FWS |
owner_facet | MAIN DE-863 DE-BY-FWS |
physical | 1 online resource (xi, 785 pages) : illustrations, map |
psigel | ZDB-4-EBA |
publishDate | 2011 |
publishDateSearch | 2011 |
publishDateSort | 2011 |
publisher | Cambridge Scholars, |
record_format | marc |
spelling | International Finance Conference (Tunisia) (6th : 2011 : Ḥammāmāt, Tunisia) 6th International Finance Conference on financial crisis and governance / edited by Mondher Bellalah and Omar Masood. Newcastle upon Tyne : Cambridge Scholars, 2011. 1 online resource (xi, 785 pages) : illustrations, map text txt rdacontent computer c rdamedia online resource cr rdacarrier Includes bibliographical references. Print version record. TABLE OF CONTENTS; PART 1; THE PERFORMANCE OF HYBRID MODELS IN THE ASSESSMENT OF DEFAULT RISK; EXCESS VOLATILITY AND BEHAVIOURAL FEATURES SURROUNDING THE CRISIS PERIOD; BASEL III; "PSYCHOMETRIC" INDICES AND THE PREDICTION OF FINANCIAL BUBBLES; THE GOVERNANCE OF PORTS IN THE MEDITERRANEAN; SOLVENCY AND VALUATION OF BANKS; PART 2; WHAT DRIVES IFDIS IN THE NIGERIAN BANKING INDUSTRY?; IMPACT OF MACROECONOMIC FACTORS ON STOCK EXCHANGE PRICES; OIL PRICE FLUCTUATIONS AND EQUITY RETURNS IN NET OIL-EXPORTING COUNTRIES; THE INFLUENCE OF INSTITUTIONAL HOLDINGS ON THE STRATEGIC ORIENTATIONS OF BUSINESSES BACK TO ACCOUNTING BASICS FINANCIAL CRISIS? FOR AN OPTIMISTIC VIEW OF GROWTH; PART 3; VALUABLE DECISIONS AND INFORMATION; TEST OF THE CUMULATIVE PROSPECTS THEORY; A SCENARIO-BASED APPROACH TO EVALUATE SUPPLY CHAIN NETWORKS; VOLATILITY SPILLOVER AMONG ISLAMIC AND OTHERS; THE MULTIPLE STRADDLE CARRIER ROUTING PROBLEM; PART 4; SOVEREIGN DEBT CRISIS AND CREDIT DEFAULT SWAPS; BOND SENSITIVITIES AND INTEREST RATE RISKS; CREDIT CRISIS AND THE COLLAPSE OF ARS MARKET; BEYOND THE EMU CRISIS; THE IMPACT OF THE QUALITATIVE FACTORS ON ETHICS JUDGMENTS OF MATERIALITY IN AUDIT; PART 5 DOES CO-INTEGRATION AND CAUSAL RELATIONSHIP EXIST BETWEEN THE NON-STATIONARY VARIABLES FOR CHINESE BANKS PROFITABILITY? EMPIRICAL EVIDENCEINTERACTIONS BETWEEN FREE CASH FLOW, DEBT POLICY AND STRUCTURE OF GOVERNANCE; FINANCING CONSTRAINTS THEORY; THE DETERMINANTS OF THE NEW VENTURE DECISION IN TUNISIA; COMPARABILITY OF FINANCIAL INFORMATION AND SEGMENTAL REPORTING; PART 6; THE KNOWLEDGE STRUCTURE OF FRENCH MANAGEMENT CONTROL RESEARCH; ANALYSIS OF MANAGERS' USE OF MANAGEMENT ACCOUNTING; "THE DRAFT AMENDMENT TO STANDARD IAS18 REGARDING THE CAPITALIZATION OF PROCEEDS FROM NORMAL ACTIVITIES" MANAGEMENT CONTROL THROUGH COMMUNICATION ORGANIZATIONAL LEARNING AND KNOWLEDGE DEVELOPMENT PECULIARITIES IN SMALL AND MEDIUM FAMILY ENTERPRISES; THE CASE AS A RESEARCH TOOL IN MANAGEMENT SCIENCES; PART 7; SYARIAH ACCOUNTING AND COMPLIANT SCREENING PRACTICES; ISLAMIC FINANCE, ENERGY SECTOR AND FINANCIAL INNOVATIONS; SUKUKS; THE PERFORMANCE OF ISLAMIC CAPITAL MARKET AND MAXIMIZATION OF THE WEALTH OF SHARE HOLDERS AND VALUE OF COMPANY; ISLAMIC FINANCE OUTSIDE THE MUSLIM WORLD; A COMPARISON OF LEVERAGE AND PROFITABILITY BETWEEN ISLAMIC AND CONVENTIONAL BANKS Financial markets, the banking system, and the real estate, commodity and energy markets have, since 2007, been experiencing higher integration, more volatility and have undergone several shocks. More coordination is needed between G20 and market authorit. International finance Congresses. Financial institutions, International Management Congresses. Financial crises Congresses. Financial risk management Congresses. Institutions financières internationales Gestion Congrès. Finances Gestion du risque Congrès. Economics, finance, business & management. bicssc Labour economics. bicssc International business. bicssc BUSINESS & ECONOMICS Finance. bisacsh Financial crises fast Financial institutions, International Management fast Financial risk management fast International finance fast Conference papers and proceedings fast Bellalah, Mondher. Masood, Omar. has work: 6th International Finance Conference on financial crisis and governance (Text) https://id.oclc.org/worldcat/entity/E39PCGQfyrTMYkTmFfCrBXXTVy https://id.oclc.org/worldcat/ontology/hasWork Print version: International Finance Conference (Tunisia) (6th : 2011 : Ḥammāmāt, Tunisia). 6th International Finance Conference on Financial Crisis and Governance. Newcastle upon Tyne : Cambridge Scholars, 2011 9781443833080 (OCoLC)751835450 FWS01 ZDB-4-EBA FWS_PDA_EBA https://search.ebscohost.com/login.aspx?direct=true&scope=site&db=nlebk&AN=539459 Volltext |
spellingShingle | 6th International Finance Conference on financial crisis and governance / TABLE OF CONTENTS; PART 1; THE PERFORMANCE OF HYBRID MODELS IN THE ASSESSMENT OF DEFAULT RISK; EXCESS VOLATILITY AND BEHAVIOURAL FEATURES SURROUNDING THE CRISIS PERIOD; BASEL III; "PSYCHOMETRIC" INDICES AND THE PREDICTION OF FINANCIAL BUBBLES; THE GOVERNANCE OF PORTS IN THE MEDITERRANEAN; SOLVENCY AND VALUATION OF BANKS; PART 2; WHAT DRIVES IFDIS IN THE NIGERIAN BANKING INDUSTRY?; IMPACT OF MACROECONOMIC FACTORS ON STOCK EXCHANGE PRICES; OIL PRICE FLUCTUATIONS AND EQUITY RETURNS IN NET OIL-EXPORTING COUNTRIES; THE INFLUENCE OF INSTITUTIONAL HOLDINGS ON THE STRATEGIC ORIENTATIONS OF BUSINESSES BACK TO ACCOUNTING BASICS FINANCIAL CRISIS? FOR AN OPTIMISTIC VIEW OF GROWTH; PART 3; VALUABLE DECISIONS AND INFORMATION; TEST OF THE CUMULATIVE PROSPECTS THEORY; A SCENARIO-BASED APPROACH TO EVALUATE SUPPLY CHAIN NETWORKS; VOLATILITY SPILLOVER AMONG ISLAMIC AND OTHERS; THE MULTIPLE STRADDLE CARRIER ROUTING PROBLEM; PART 4; SOVEREIGN DEBT CRISIS AND CREDIT DEFAULT SWAPS; BOND SENSITIVITIES AND INTEREST RATE RISKS; CREDIT CRISIS AND THE COLLAPSE OF ARS MARKET; BEYOND THE EMU CRISIS; THE IMPACT OF THE QUALITATIVE FACTORS ON ETHICS JUDGMENTS OF MATERIALITY IN AUDIT; PART 5 DOES CO-INTEGRATION AND CAUSAL RELATIONSHIP EXIST BETWEEN THE NON-STATIONARY VARIABLES FOR CHINESE BANKS PROFITABILITY? EMPIRICAL EVIDENCEINTERACTIONS BETWEEN FREE CASH FLOW, DEBT POLICY AND STRUCTURE OF GOVERNANCE; FINANCING CONSTRAINTS THEORY; THE DETERMINANTS OF THE NEW VENTURE DECISION IN TUNISIA; COMPARABILITY OF FINANCIAL INFORMATION AND SEGMENTAL REPORTING; PART 6; THE KNOWLEDGE STRUCTURE OF FRENCH MANAGEMENT CONTROL RESEARCH; ANALYSIS OF MANAGERS' USE OF MANAGEMENT ACCOUNTING; "THE DRAFT AMENDMENT TO STANDARD IAS18 REGARDING THE CAPITALIZATION OF PROCEEDS FROM NORMAL ACTIVITIES" MANAGEMENT CONTROL THROUGH COMMUNICATION ORGANIZATIONAL LEARNING AND KNOWLEDGE DEVELOPMENT PECULIARITIES IN SMALL AND MEDIUM FAMILY ENTERPRISES; THE CASE AS A RESEARCH TOOL IN MANAGEMENT SCIENCES; PART 7; SYARIAH ACCOUNTING AND COMPLIANT SCREENING PRACTICES; ISLAMIC FINANCE, ENERGY SECTOR AND FINANCIAL INNOVATIONS; SUKUKS; THE PERFORMANCE OF ISLAMIC CAPITAL MARKET AND MAXIMIZATION OF THE WEALTH OF SHARE HOLDERS AND VALUE OF COMPANY; ISLAMIC FINANCE OUTSIDE THE MUSLIM WORLD; A COMPARISON OF LEVERAGE AND PROFITABILITY BETWEEN ISLAMIC AND CONVENTIONAL BANKS International finance Congresses. Financial institutions, International Management Congresses. Financial crises Congresses. Financial risk management Congresses. Institutions financières internationales Gestion Congrès. Finances Gestion du risque Congrès. Economics, finance, business & management. bicssc Labour economics. bicssc International business. bicssc BUSINESS & ECONOMICS Finance. bisacsh Financial crises fast Financial institutions, International Management fast Financial risk management fast International finance fast |
title | 6th International Finance Conference on financial crisis and governance / |
title_auth | 6th International Finance Conference on financial crisis and governance / |
title_exact_search | 6th International Finance Conference on financial crisis and governance / |
title_full | 6th International Finance Conference on financial crisis and governance / edited by Mondher Bellalah and Omar Masood. |
title_fullStr | 6th International Finance Conference on financial crisis and governance / edited by Mondher Bellalah and Omar Masood. |
title_full_unstemmed | 6th International Finance Conference on financial crisis and governance / edited by Mondher Bellalah and Omar Masood. |
title_short | 6th International Finance Conference on financial crisis and governance / |
title_sort | 6th international finance conference on financial crisis and governance |
topic | International finance Congresses. Financial institutions, International Management Congresses. Financial crises Congresses. Financial risk management Congresses. Institutions financières internationales Gestion Congrès. Finances Gestion du risque Congrès. Economics, finance, business & management. bicssc Labour economics. bicssc International business. bicssc BUSINESS & ECONOMICS Finance. bisacsh Financial crises fast Financial institutions, International Management fast Financial risk management fast International finance fast |
topic_facet | International finance Congresses. Financial institutions, International Management Congresses. Financial crises Congresses. Financial risk management Congresses. Institutions financières internationales Gestion Congrès. Finances Gestion du risque Congrès. Economics, finance, business & management. Labour economics. International business. BUSINESS & ECONOMICS Finance. Financial crises Financial institutions, International Management Financial risk management International finance Conference papers and proceedings |
url | https://search.ebscohost.com/login.aspx?direct=true&scope=site&db=nlebk&AN=539459 |
work_keys_str_mv | AT internationalfinanceconferencetunisiahammamattunisia 6thinternationalfinanceconferenceonfinancialcrisisandgovernance AT bellalahmondher 6thinternationalfinanceconferenceonfinancialcrisisandgovernance AT masoodomar 6thinternationalfinanceconferenceonfinancialcrisisandgovernance |