Showing 521 - 540 results of 1,437 for search '"financial risk"', query time: 0.18s Refine Results
  1. 521

    Performance Analysis of Nigerian Brewery Industry by Lucas O. Elumah, Peter Shobayo

    Published 2018-03-01
    “…Similarly, the industry financial risk is relatively low, and manager in the industry manage their stocks efficiently. …”
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    Article
  2. 522

    Can public opinions improve the effect of financial early warning ? -- an empirical study on the new energy industry by Ziya Yang, Yucheng Zhu, Jiaxin Chen, Songyan Xie, Cheng Liu

    Published 2024-03-01
    “…This paper mainly aims to delve in the impact of public opinion on the efficacy of financial risk early warning effect and try to establish an enhanced financial risk early warning model for the new energy list companies. …”
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    Article
  3. 523

    Pressure, state and response: configurational analysis of organizational resilience in tourism businesses following the COVID-19 pandemic crisis by Ruiyi Zhao, Ling Li

    Published 2023-07-01
    “…Based on an empirical analysis of 35 listed tourism companies in China from 2010 to 2020, the research found the following: (1) Four groupings of high organizational resilience: redundant resource deficit under epidemic pressure with high pay incentive compensation, low financial risk, and CSR driven under low epidemic pressure, resource deployment and CSR driven under low financial risk and CSR driven under low financial risk. …”
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    Article
  4. 524

    FAKTOR-FAKTORYANG MEMPENGARUHI RUJUKAN RAWAT JALAN TINGKAT PERTAMA PESERTA WAJIB PT. ASKES DI KABUPATEN BANYUMAS by Perpustakaan UGM, i-lib

    Published 2003
    “…Results: The step-wise regression analysis showed on capitation understanding (p=0.03), financial risk perception (p=0.047), medical needs perception (p=0.00) and the distance from the community health center to the nearest referral (p=0.187). …”
    Article
  5. 525

    Geometric approach to static and dynamic measurements of risk, bankruptcy and market ranking by Bahiraie, Alireza

    Published 2010
    “…In this research, the first geometric methodology for financial risk measurement is developed for financial concepts, focusing on theoretical bases rather than isolated facts of financial risk management. …”
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    Thesis
  6. 526

    Asymmetric Laplace Distribution Models for Financial Data: VaR and CVaR by Huiting Jing, Yang Liu, Jinghua Zhao

    Published 2022-04-01
    “…In the field of financial risk measurement, Asymmetric Laplace (AL) laws are used. …”
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    Article
  7. 527

    DETERMINATION OF UPPER LIMIT FOR INVESTMENT IN CHERRY PLANTATION ESTABLISHMENT by Dušan Milić, Zorica Sredojević, Marko Jeločnik

    Published 2008-12-01
    “…To avoid that, or in some extent diminish the financial risk, prior to plantation it is necessary to correctly estimate the financial investments for certain growth years, as well as, expected yields during planned period of plantation exploitation. …”
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    Article
  8. 528

    Drought Shocks and Gearing Impacts on the Profitability of Sheep Farming by Sosheel S. Godfrey, Thomas Nordblom, Ryan H. L. Ip, Susan Robertson, Timothy Hutchings, Karl Behrendt

    Published 2021-04-01
    “…In addition to business risk, financial risk should be included in the analyses and planning of farm production to identify optimal management strategies better. …”
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    Article
  9. 529

    Temperature difference and systemic risk: Evidence from LASSO-VAR-DY based on China's pan-financial market. by Kaiwei Jia, Yunqing Du

    Published 2024-01-01
    “…Climate change-induced pan-financial market and the contagion of systemic financial risks are becoming important issues in the financial sector. …”
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    Article
  10. 530

    Understandıng Consumer Onlıne Purchase Intentıon Analyzed From Perceıved Rısk by humairoh humairoh, Mohammad Annas, Edwin Edwin

    Published 2023-02-01
    “… The motive of this examination changed to determine the impact of financial risk, product risk, security risk, time risk, social risk, and psychological risk on shopping for interest in online purchasing for Roche Posay cosmetic products. …”
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    Article
  11. 531

    PENGARUH RISIKO KEUANGAN, MANAJEMEN LABA DAN PERTUMBUHAN PENJUALAN TERHADAP NILAI PERUSAHAAN DENGAN ROE DAN DER SEBAGAI VARIABEL KONTROL PADA PERUSAHAAN SEKTOR PROPERTI, REAL EST... by Yamasitha Yamasitha

    Published 2020-01-01
    “…The objective of this research is to analyze the effect of financial risk, earning management and sales growth on firm value. …”
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    Article
  12. 532

    PENGARUH RISIKO KEUANGAN TERHADAPA KINERJA KEUANGAN PADA PERBANKAN INDONESIA by Teguh Iman Laan, Wehelmina M. Ndoen, Hironnymus Jati

    Published 2022-03-01
    “… The reserarch aims to determine and test the effect of financial risk on the financial performace of banks (the case study on banks listed on te Indonesian stock exchange). …”
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    Article
  13. 533

    Persepsi Risiko Covid-19 terhadap Intensi Berwisata di Jabodetabek by Fredy Utama, Doddy Setiawan

    Published 2020-11-01
    “…There are several risk perceptions, namely the financial risk perception, time risk, social-psychological risk and health risk. …”
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    Article
  14. 534

    Consumers’ Perception of Risk Facets Associated With Fintech Use: Evidence From Pakistan by Chunling Li, Nosherwan Khaliq, Leslie Chinove, Usama Khaliq, Judit Oláh

    Published 2023-10-01
    “…Empirical results show that three of eight perceived risk factors: performance risk, financial risk, and overall risk, have a substantial adverse effect on the intention to utilize financial technology. …”
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    Article
  15. 535

    Construction and application of computerized risk assessment model for supply chain finance under technology empowerment. by Bo Huang, Wei Gan

    Published 2023-01-01
    “…In summary, the C-FSVM supply chain financial risk assessment model is effective and has great application value in banking practice.…”
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    Article
  16. 536

    Artificial intelligence empowers the construction of first-class financial management system by Wang Mingdong

    Published 2024-01-01
    “…We adopt the improved BP algorithm and ant colony algorithm to conduct in-depth research on financial risk early warning, financial analysis and financial forecasting. …”
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    Article
  17. 537

    Decomposing and reconstructing dynamic risks in the crude oil market based on the VMD and Lempel–Ziv algorithms by Hao Dong, Zhehao Huang

    Published 2022-12-01
    “…By summarizing the crude oil risk components, we also conclude that the mean value for the oil commodity risk is 0.04, while that for the oil financial risk is 0. What is more, the oil commodity risk is highly related to downward trends in oil prices, while the oil financial risk exerts the same clustering effect as oil returns.…”
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    Article
  18. 538

    Insights into parents’ perceived worry before and during the COVID-19 pandemic in Australia: inequality and heterogeneity of influences by Roula Zougheibe, Ashraf Dewan, Richard Norman, Ori Gudes

    Published 2023-10-01
    “…The primary predictor of parents’ worry before COVID-19 was perceived neighbourhood safety, while the main predictor during COVID-19 was financial risk due to income change. Some variable such as neighbourhood safety and financial risk varied in their contribution to worry across geographical regions. …”
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    Article
  19. 539

    A review of community-based health insurance in Nigeria by Tukur, Nura, M. B., Fatma, M. M., Fatehelrahman Elmahadi, Ismail, Suriani, Mahmud, Aidalina

    Published 2017
    “…Background: The primary goal of many countries is to establish a healthcare financing system that guarantees universal health coverage (UHC) through equity in access to healthcare services as well as financial risk protection to the people. Community based health insurance (CBHI) has emerged as an alternative to reduce out-of-pocket (OOP) expenditures and improved financial risk protections in developing countries like Nigeria. …”
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    Article
  20. 540

    Impact of technological innovation on corporate leverage in China: The moderating role of policy incentives and market competition by Lin Ren, Dan Liu, Deping Xiong

    Published 2022-12-01
    “…Due to its capital-related nature, corporate leverage is highly exposed to financial risk, and optimizing corporate leverage is an effective method of mitigating financial risk to maximize corporate value. …”
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    Article