Handbook of research on new challenges and global outlooks in financial risk management:
"This book discusses the financial instruments firms use to manage the different kind of financial risks, such as interest rate risk, corporate risk, credit risk, liquidity and default risk and is intended to help the reader understand the risk management practices in different countries, and t...
Gespeichert in:
Weitere Verfasser: | , , |
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Format: | Elektronisch E-Book |
Sprache: | English |
Veröffentlicht: |
Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) :
IGI Global,
2022
|
Schlagworte: | |
Online-Zugang: | Volltext |
Zusammenfassung: | "This book discusses the financial instruments firms use to manage the different kind of financial risks, such as interest rate risk, corporate risk, credit risk, liquidity and default risk and is intended to help the reader understand the risk management practices in different countries, and their relationship to firms' performance, and other dimensions of companies" |
Beschreibung: | 27 PDFs (470 pages) Also available in print. |
Format: | Mode of access: World Wide Web. |
Bibliographie: | Includes bibliographical references and index. |
ISBN: | 9781799886112 |
Zugangseinschränkungen: | Restricted to subscribers or individual electronic text purchasers. |
Internformat
MARC
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020 | |z 1799886107 | ||
020 | |z 9781799886099 | ||
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024 | 7 | |a 10.4018/978-1-7998-8609-9 |2 doi | |
035 | |a (CaBNVSL)slc00002179 | ||
035 | |a (OCoLC)1291724528 | ||
040 | |a CaBNVSL |b eng |e rda |c CaBNVSL |d CaBNVSL | ||
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082 | 7 | |a 658.151 |2 23 | |
245 | 0 | 0 | |a Handbook of research on new challenges and global outlooks in financial risk management |c Mara Madaleno, Elisabete Vieira, and Nicoleta Barbuta-Misu, editors. |
264 | 1 | |a Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) : |b IGI Global, |c 2022 | |
300 | |a 27 PDFs (470 pages) | ||
336 | |a text |2 rdacontent | ||
337 | |a electronic |2 isbdmedia | ||
338 | |a online resource |2 rdacarrier | ||
504 | |a Includes bibliographical references and index. | ||
505 | 0 | |a Chapter 1. Financial risk and corporate governance: a bibliometric analysis -- Chapter 2. The relationship between risk and firm performance: a review -- Chapter 3. Gender diversity and financial risk: a bibliometric analysis -- Chapter 4. Gender differences in risk tolerance: new evidence from a survey of postgraduate students -- Chapter 5. Corruption, credit risk, and bank profitability: evidence of Angolan banks -- Chapter 6. Risk governance and bank performance: do risk committee activism and finance experts on the risk committee matter? -- Chapter 7. Loss aversion in companies whose location is affected by fire -- Chapter 8. Risk of business bankruptcy: the application of DEA method -- case study of Slovak businesses -- Chapter 9. The impact of social screening on the performance of US and European funds -- Chapter 10. Stock market volatility: a pre- to post-COVID-19 analysis of emerging markets -- Chapter 11. Environmental, social, and governance assets: recent history of green bonds -- genesis and current perspectives -- Chapter 12. Managing the current risks of companies: the applicability of tax risk management -- Chapter 13. Boosted decision trees for credit scoring -- Chapter 14. The role of big data research methodologies in describing investor risk attitudes and predicting stock market performance: deep learning and risk tolerance -- Chapter 15. Determining consumer purchase intention toward counterfeit luxury goods based on the perceived risk theory -- Chapter 16. Insider transactions and performance: the Portuguese case -- Chapter 17. Does technical analysis win?: evidence from the period between Donald Trump's campaign and the first date for Brexit -- Chapter 18. Hedging effectiveness of the VIX ETPs: an analysis of the time-varying performance of the VXX. | |
506 | |a Restricted to subscribers or individual electronic text purchasers. | ||
520 | 3 | |a "This book discusses the financial instruments firms use to manage the different kind of financial risks, such as interest rate risk, corporate risk, credit risk, liquidity and default risk and is intended to help the reader understand the risk management practices in different countries, and their relationship to firms' performance, and other dimensions of companies" | |
530 | |a Also available in print. | ||
538 | |a Mode of access: World Wide Web. | ||
588 | |a Description based on title screen (IGI Global, viewed 01/11/2022). | ||
650 | 0 | |a Business enterprises |x Finance. | |
650 | 0 | |a Organizational effectiveness. | |
653 | 0 | |a Risk management. | |
700 | 1 | |a Barbuta-Misu, Nicoleta, |e editor. | |
700 | 1 | |a Madaleno, Mara, |e editor. | |
700 | 1 | |a Vieira, Elisabete S., |e editor. | |
710 | 2 | |a IGI Global, |e publisher. | |
776 | 0 | 8 | |i Print version: |z 1799886093 |z 9781799886099 |
856 | 4 | 0 | |l FWS01 |p ZDB-98-IGB |q FWS_PDA_IGB |u http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-7998-8609-9 |3 Volltext |
912 | |a ZDB-98-IGB | ||
049 | |a DE-863 |
Datensatz im Suchindex
DE-BY-FWS_katkey | ZDB-98-IGB-00271800 |
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adam_text | |
any_adam_object | |
author2 | Barbuta-Misu, Nicoleta Madaleno, Mara Vieira, Elisabete S. |
author2_role | edt edt edt |
author2_variant | n b m nbm m m mm e s v es esv |
author_facet | Barbuta-Misu, Nicoleta Madaleno, Mara Vieira, Elisabete S. |
building | Verbundindex |
bvnumber | localFWS |
callnumber-first | H - Social Science |
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collection | ZDB-98-IGB |
contents | Chapter 1. Financial risk and corporate governance: a bibliometric analysis -- Chapter 2. The relationship between risk and firm performance: a review -- Chapter 3. Gender diversity and financial risk: a bibliometric analysis -- Chapter 4. Gender differences in risk tolerance: new evidence from a survey of postgraduate students -- Chapter 5. Corruption, credit risk, and bank profitability: evidence of Angolan banks -- Chapter 6. Risk governance and bank performance: do risk committee activism and finance experts on the risk committee matter? -- Chapter 7. Loss aversion in companies whose location is affected by fire -- Chapter 8. Risk of business bankruptcy: the application of DEA method -- case study of Slovak businesses -- Chapter 9. The impact of social screening on the performance of US and European funds -- Chapter 10. Stock market volatility: a pre- to post-COVID-19 analysis of emerging markets -- Chapter 11. Environmental, social, and governance assets: recent history of green bonds -- genesis and current perspectives -- Chapter 12. Managing the current risks of companies: the applicability of tax risk management -- Chapter 13. Boosted decision trees for credit scoring -- Chapter 14. The role of big data research methodologies in describing investor risk attitudes and predicting stock market performance: deep learning and risk tolerance -- Chapter 15. Determining consumer purchase intention toward counterfeit luxury goods based on the perceived risk theory -- Chapter 16. Insider transactions and performance: the Portuguese case -- Chapter 17. Does technical analysis win?: evidence from the period between Donald Trump's campaign and the first date for Brexit -- Chapter 18. Hedging effectiveness of the VIX ETPs: an analysis of the time-varying performance of the VXX. |
ctrlnum | (CaBNVSL)slc00002179 (OCoLC)1291724528 |
dewey-full | 658.151 |
dewey-hundreds | 600 - Technology (Applied sciences) |
dewey-ones | 658 - General management |
dewey-raw | 658.151 |
dewey-search | 658.151 |
dewey-sort | 3658.151 |
dewey-tens | 650 - Management and auxiliary services |
discipline | Wirtschaftswissenschaften |
format | Electronic eBook |
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id | ZDB-98-IGB-00271800 |
illustrated | Not Illustrated |
indexdate | 2024-11-26T14:51:58Z |
institution | BVB |
isbn | 9781799886112 |
language | English |
oclc_num | 1291724528 |
open_access_boolean | |
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physical | 27 PDFs (470 pages) Also available in print. |
psigel | ZDB-98-IGB |
publishDate | 2022 |
publishDateSearch | 2022 |
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publisher | IGI Global, |
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spelling | Handbook of research on new challenges and global outlooks in financial risk management Mara Madaleno, Elisabete Vieira, and Nicoleta Barbuta-Misu, editors. Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) : IGI Global, 2022 27 PDFs (470 pages) text rdacontent electronic isbdmedia online resource rdacarrier Includes bibliographical references and index. Chapter 1. Financial risk and corporate governance: a bibliometric analysis -- Chapter 2. The relationship between risk and firm performance: a review -- Chapter 3. Gender diversity and financial risk: a bibliometric analysis -- Chapter 4. Gender differences in risk tolerance: new evidence from a survey of postgraduate students -- Chapter 5. Corruption, credit risk, and bank profitability: evidence of Angolan banks -- Chapter 6. Risk governance and bank performance: do risk committee activism and finance experts on the risk committee matter? -- Chapter 7. Loss aversion in companies whose location is affected by fire -- Chapter 8. Risk of business bankruptcy: the application of DEA method -- case study of Slovak businesses -- Chapter 9. The impact of social screening on the performance of US and European funds -- Chapter 10. Stock market volatility: a pre- to post-COVID-19 analysis of emerging markets -- Chapter 11. Environmental, social, and governance assets: recent history of green bonds -- genesis and current perspectives -- Chapter 12. Managing the current risks of companies: the applicability of tax risk management -- Chapter 13. Boosted decision trees for credit scoring -- Chapter 14. The role of big data research methodologies in describing investor risk attitudes and predicting stock market performance: deep learning and risk tolerance -- Chapter 15. Determining consumer purchase intention toward counterfeit luxury goods based on the perceived risk theory -- Chapter 16. Insider transactions and performance: the Portuguese case -- Chapter 17. Does technical analysis win?: evidence from the period between Donald Trump's campaign and the first date for Brexit -- Chapter 18. Hedging effectiveness of the VIX ETPs: an analysis of the time-varying performance of the VXX. Restricted to subscribers or individual electronic text purchasers. "This book discusses the financial instruments firms use to manage the different kind of financial risks, such as interest rate risk, corporate risk, credit risk, liquidity and default risk and is intended to help the reader understand the risk management practices in different countries, and their relationship to firms' performance, and other dimensions of companies" Also available in print. Mode of access: World Wide Web. Description based on title screen (IGI Global, viewed 01/11/2022). Business enterprises Finance. Organizational effectiveness. Risk management. Barbuta-Misu, Nicoleta, editor. Madaleno, Mara, editor. Vieira, Elisabete S., editor. IGI Global, publisher. Print version: 1799886093 9781799886099 FWS01 ZDB-98-IGB FWS_PDA_IGB http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-7998-8609-9 Volltext |
spellingShingle | Handbook of research on new challenges and global outlooks in financial risk management Chapter 1. Financial risk and corporate governance: a bibliometric analysis -- Chapter 2. The relationship between risk and firm performance: a review -- Chapter 3. Gender diversity and financial risk: a bibliometric analysis -- Chapter 4. Gender differences in risk tolerance: new evidence from a survey of postgraduate students -- Chapter 5. Corruption, credit risk, and bank profitability: evidence of Angolan banks -- Chapter 6. Risk governance and bank performance: do risk committee activism and finance experts on the risk committee matter? -- Chapter 7. Loss aversion in companies whose location is affected by fire -- Chapter 8. Risk of business bankruptcy: the application of DEA method -- case study of Slovak businesses -- Chapter 9. The impact of social screening on the performance of US and European funds -- Chapter 10. Stock market volatility: a pre- to post-COVID-19 analysis of emerging markets -- Chapter 11. Environmental, social, and governance assets: recent history of green bonds -- genesis and current perspectives -- Chapter 12. Managing the current risks of companies: the applicability of tax risk management -- Chapter 13. Boosted decision trees for credit scoring -- Chapter 14. The role of big data research methodologies in describing investor risk attitudes and predicting stock market performance: deep learning and risk tolerance -- Chapter 15. Determining consumer purchase intention toward counterfeit luxury goods based on the perceived risk theory -- Chapter 16. Insider transactions and performance: the Portuguese case -- Chapter 17. Does technical analysis win?: evidence from the period between Donald Trump's campaign and the first date for Brexit -- Chapter 18. Hedging effectiveness of the VIX ETPs: an analysis of the time-varying performance of the VXX. Business enterprises Finance. Organizational effectiveness. |
title | Handbook of research on new challenges and global outlooks in financial risk management |
title_auth | Handbook of research on new challenges and global outlooks in financial risk management |
title_exact_search | Handbook of research on new challenges and global outlooks in financial risk management |
title_full | Handbook of research on new challenges and global outlooks in financial risk management Mara Madaleno, Elisabete Vieira, and Nicoleta Barbuta-Misu, editors. |
title_fullStr | Handbook of research on new challenges and global outlooks in financial risk management Mara Madaleno, Elisabete Vieira, and Nicoleta Barbuta-Misu, editors. |
title_full_unstemmed | Handbook of research on new challenges and global outlooks in financial risk management Mara Madaleno, Elisabete Vieira, and Nicoleta Barbuta-Misu, editors. |
title_short | Handbook of research on new challenges and global outlooks in financial risk management |
title_sort | handbook of research on new challenges and global outlooks in financial risk management |
topic | Business enterprises Finance. Organizational effectiveness. |
topic_facet | Business enterprises Finance. Organizational effectiveness. |
url | http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-7998-8609-9 |
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