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201
Financial risk of emergency abdominal surgery: a cross sectional study from Ethiopia
Published 2022-08-01Subjects: “…Financial risk…”
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202
Financial Risk Prevention Model of Financial Institutions Based on Linear Partial Differential Equation
Published 2023-01-01Subjects: Get full text
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203
Gender Diversity in Board of Directors and the Relationship between Performance and Financial Risk in Family Firms
Published 2019-10-01“…This paper analyzes the influence of female participation on the performance and financial risk considering a sample of 218 public companies traded on B3 (Bovespa) from 2010 a 2016. …”
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204
Financial risk tolerance and its determinants: The perspective of personnel from security services in Ghana
Published 2023-07-01Subjects: “…Financial risk tolerance…”
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205
BUSINESS RISK, FINANCIAL RISK AND FIRM PERFORMANCE AN EMPIRICAL STUDY OF INDONESIAN MANUFACTURING SECTOR
Published 2020-09-01Get full text
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206
RISKY RISK MEASURES: A NOTE ON UNDERESTIMATING FINANCIAL RISK UNDER THE NORMAL ASSUMPTION
Published 2017-03-01Get full text
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207
Construction of Financial Risk Evaluation Index System for Biomass Graphene Fibre Industrialisation Project
Published 2023-07-01Get full text
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208
ACCESSIBILITY, FINANCIAL RISK PERCEPTION AND FARMERS’ SATISFACTION TO MICROFINANCE SERVICES QUALITY IN DEVELOPING COUNTRIES
Published 2018-09-01Subjects: Get full text
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209
Financial Risk Control of Hydro Generation Systems through Market Intelligence and Stochastic Optimization
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210
Research on Financial Risk Early Warning of Listed Companies Based on Stochastic Effect Mode
Published 2021-07-01Subjects: Get full text
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211
Modelling Financial Risks for Egyptian Insurance Market. Evidence from Insurance Investment Channels
Published 2021-01-01“…The principal finding of this research is to measure the financial risk according to the copula estimation. The findings of this paper illustrate that the copula parameter ρ is simmilar to the parameter in the whole market, that is because the life insurance sector has long term conrtacts while the nonlife sector has short term contracts. …”
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212
RISKY RISK MEASURES: A NOTE ON UNDERESTIMATING FINANCIAL RISK UNDER THE NORMAL ASSUMPTION
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213
The effect of state and trait power on financial risk-taking: The mediating and moderating roles of optimism
Published 2022-01-01“…Three studies (N1 = 328, N2 = 388, N3 = 267) investigated the role of optimism in the relationship between sense of power and financial risk-taking, controlling for the state of power. …”
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214
A new multivariate approach for assessing corporate financial risk using balance sheets
Published 2021-09-01“…However, each indicator alone cannot measure a firm's overall financial risk or financial distress level. In this study, we measure the financial strength of the real sector firms listed on the Borsa Istanbul (BIST) by producing a composite index score that combines several different corporate finance ratios. …”
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215
The Evaluation of Profitability, Corporate Social Responsibility, and Financial Risk in Asset Management Companies in Iran
Published 2023-07-01Subjects: Get full text
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216
The Relationship between Integrated Thinking and Financial Risk: Panel Estimation in a Global Sample
Published 2022-12-01Subjects: Get full text
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217
Estimating the financial risks of Andropogon gayanus to greenhouse gas abatement projects in northern Australia
Published 2013-01-01“…We use the case study of savanna burning, an approved greenhouse gas abatement methodology under the Carbon Farming Initiative in Australia, to examine potential risks to carbon markets in northern Australia and quantify the financial risks. We focus our analysis on the threat of Andropogon gayanus (gamba grass) to savanna burning due to its documented impacts of increased fuel loads and altered fire regimes. …”
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Stability, efficiency and financial risks of islamic banks in conditions of instability of global financial system
Published 2019-03-01“…Article analyzes the activities of Islamic banks in the post-crisis period, both in the global Islamic banking sector as a whole, and in the context of individual countries in which Islamic banks are predominantly or significantly represented, as well as financial risks that pose a threat of losses for Islamic banks. …”
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220
Linear fractional differential equations in bank resource allocation and financial risk management model
Published 2021-12-01Subjects: Get full text
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