Showing 581 - 600 results of 1,437 for search '"financial risk"', query time: 0.17s Refine Results
  1. 581

    Faktor-faktor yang berhubungan dengan upaya pengendalian biaya pelayanan kesehatan peserta PT. Askes di Puskesmas Kota Yogyakarta = Factors related to the cost containment for mem... by Perpustakaan UGM, i-lib

    Published 2004
    “…Results: 56.66% respondents had good knowledge of total capitation and only 20% had good perception of financial risk supported by the public heath centers. …”
    Article
  2. 582

    PENGARUH RISIKO PERUSAHAAN, ASIMETRI INFORMASI DAN TINGKAT PERTUMBUHAN TERHADAP RETURN SAHAM PERUSAHAAN YANG MEMBAGIKAN DIVIDEN KAS STUDI EMPIRIS DI BURSA EFEK INDONESIA by , Dian Purnomo Jati, SE., , Prof. Dr. Eduardus Tandelilin, M.B.A

    Published 2011
    “…The aim of this research is to examine investor reaction to dividend change announcements made by company with different financial risk, different level of asymmetric information and different growth rate over the period 2002-2007. …”
    Thesis
  3. 583

    Malaysian public sector employees' gold investment intention as a mediator in gold investment behaviour by A. R., Husniyah, A. W., Ahmad Fauzi, S., Mohamad Fazli, O., Mohd. Amim

    Published 2022
    “…Meanwhile, gold investment subjective norms, gold investment intention, and employees’ financial risk tolerance directly influence gold investment behaviour. …”
    Article
  4. 584

    Factors contributing to financial stability of urban and rural families by Abdul Rahim @ Abdul Wahab, Husniyah, Abdul Samad, M. Fazilah

    Published 2011
    “…For urban families, financial risk tolerance, future time orientation and self-worth were less likely to predict financial stability. …”
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    Article
  5. 585

    The Capital Asset Pricing Model by James Ming Chen

    Published 2021-09-01
    “…The capital asset pricing model (CAPM) is an influential paradigm in financial risk management. It formalizes mean-variance optimization of a risky portfolio given the presence of a risk-free investment such as short-term government bonds. …”
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    Article
  6. 586

    Synthesis of Hazard, Vulnerability and Asset-Level Data Sources for Physical Climate Risk Assessment and Adaptation by Freeman, A, Ranger, N, Bernhofen, M, Szczepanski, M, Lowe, J, Holmes, I, Bremner, C, Harwood, T

    Published 2024
    “…This data set was originally prepared as a contribution to the Climate Financial Risk Forum Adaptation Working Group in collaboration with the Met Office and the contribution of various partners of the Resilient Planet Data Hub.…”
    Dataset
  7. 587

    Risk Management Planning for Agricultural Business Owners by Martie Gillen, Beatrice Pierre

    Published 2019-09-01
    “…This 4-page document presents questions to consider regarding production risk, price or market risk, financial risk, legal risk, and human risk. Written by Martie Gillen and Beatrice Pierre, and published by the UF/IFAS Department of Family, Youth and Community Sciences, August 2019. http://edis.ifas.ufl.edu/fy1485 …”
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    Article
  8. 588
  9. 589

    Regional Private Financing Risk Index Model Based on Private Financing Big Data by Jingfeng Zhao, Bo Li

    Published 2022-04-01
    “…Based on the “Yantai Private Financing Interest Rate Index,” this paper constructs a private financial risk index model from three perspectives of interest rate risk, scale risk and credit risk, and conducts a case simulation analysis of the private financing risk index. …”
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    Article
  10. 590

    Forecasting Agricultural Financial Weather Risk Using PCA and SSA in an Index Insurance Model in Low-Income Economies by Adriana L. Abrego-Perez, Natalia Pacheco-Carvajal, Maria C. Diaz-Jimenez

    Published 2023-02-01
    “…This article presents a novel methodology to assess the financial risk to crops in highly weather-volatile regions. …”
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    Article
  11. 591

    Regime-Specific Quant Generative Adversarial Network: A Conditional Generative Adversarial Network for Regime-Specific Deepfakes of Financial Time Series by Andrew Huang, Matloob Khushi, Basem Suleiman

    Published 2023-09-01
    “…Challenges to modelling financial risk in market crisis environments are anomalous asset price behaviour and a lack of historical data to learn from. …”
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    Article
  12. 592

    Modelling of non-stationarity in extreme share returns by Marsani, Muhammad Fadhil

    Published 2021
    “…Financial risk control depends on the assumptions made about the distribution of share returns. …”
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    Thesis
  13. 593

    Applications of extreme value theory in finance. by Lim, Sharon Chin Wei., Lim, York Mun., Peh, Lay Hui.

    Published 2008
    “…Hence, we find that extreme value analysis is indeed a valuable tool in financial risk analysis.…”
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    Final Year Project (FYP)
  14. 594

    Access and Financial Burden for Patients Seeking Essential Surgical Care in Pakistan by Lubna Samad, Muhammad Nabeel Ashraf, Ammar Ali Mohammad, Irum Fatima, Zachary Fowler, Katherine Albutt, Asad Latif, John G. Meara, Manon Pigeolet

    Published 2022-12-01
    “…With the recent development of national health programs focusing on surgical care, two areas of high priority for research and policy are access and financial risk protection related to surgery. This is the first study in Pakistan to nationally assess geographic access and expenditures for patients undergoing surgery. …”
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    Article
  15. 595

    “We are called the et cetera”: Experiences of the poor with health financing reforms that target them in Kenya by Kabia, E, Mbau, R, Oyando, R, Oduor, C, Bigogo, G, Khagayi, S, Barasa, E

    Published 2019
    “…<p><strong>Background:</strong><br /> Through a number of healthcare reforms, Kenya has demonstrated its intention to extend financial risk protection and service coverage for poor and vulnerable groups. …”
    Journal article
  16. 596

    Impact of digital finance on financial inclusion and stability by Peterson K. Ozili

    Published 2018-12-01
    “…JEL Classification: E44, F65, G18, G21, G28, Keywords: Financial inclusion, Fintech, Digital finance, Financial stability, Financial risk, Financial institutions…”
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    Article
  17. 597

    Cost Overruns and Demand Shortfalls in Urban Rail and Other Infrastructure by Flyvbjerg, B

    Published 2007
    “…The approach developed is proposed as a model for other types of policies and projects in order to improve economic and financial risk assessment and management in policy and planning.…”
    Journal article
  18. 598

    Fuzzy-Monte Carlo Simulation For Risk Analysis In Investment Project Evaluation by Hamundu, Ferdinand Murni

    Published 2011
    “…However, the problem still exists in risk analysis, such as the difficulties to involve the non-financial risks in an economic model for evaluating the investment project. …”
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    Thesis
  19. 599

    Measuring Customer Orientation Of Salespeople: A Study On Housebuyers by Bakar, Zarir Abu

    Published 1999
    “…Buying a house is a very complex task involves financial risk to the buyer, thus, the primary objective of this study is to assess the degree which housebuyers rate salespeople as being customer oriented and examining. …”
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    Thesis
  20. 600

    To Analyse The Impact of “Build-Then-Sell 10:90 Variant” (BTS) System From The Aspect of House Buyers by Tang, Siang Peng

    Published 2007
    “…Under the current housing delivery system, house buyers are always the parties who carry the financial risk. Though the market has been adopting the Sell-Then-Build system for the past few decades, it does not make it a rightful system. …”
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    Monograph