Showing 621 - 640 results of 1,437 for search '"financial risk"', query time: 0.16s Refine Results
  1. 621

    The Ethical Framework for Policy-making of Universal Health Coverage: A Systematic Review by Ali Farzaneh, Hamid Ravaghi, Abolghasem Fanaei

    Published 2020-03-01
    “…Most studies have emphasised the principles of human rights, solidarity, justice and fairness, cost-effectiveness, and financial risk conservation in the policy-making of health universal coverage. …”
    Get full text
    Article
  2. 622

    Aspects of a Phase Transition in High-Dimensional Random Geometry by Axel Prüser, Imre Kondor, Andreas Engel

    Published 2021-06-01
    “…A prominent example is the feasibility of a minimax problem that represents the extremal case of a class of financial risk measures, among them the current regulatory market risk measure Expected Shortfall. …”
    Get full text
    Article
  3. 623

    Researcher Profile: An Interview with John E. Grable, Ph.D., CFP(R) by John Grable

    Published 2014-08-01
    “…His research interests include financial risk-tolerance assessment, psychophysiological economics, and financial planning help-seeking behavior. …”
    Get full text
    Article
  4. 624

    Influence of Psychographics and Risk Perception on Internet Banking Adoption: Current State of Affairs in Britain by Muhammad Ali Nasir, Junjie Wu, Milton Yago, Haohong Li

    Published 2015-06-01
    “…It is found that perceived usefulness and perceived ease of use consistently have significant positive impacts on the decisions of IB adoption while these IB users are specifically concerned about security risk, privacy risk and financial risk related to using IB services. However, social risk has no significant impact on their decision to adopt IB. …”
    Get full text
    Article
  5. 625

    Study on the Role of Big Data Technology in Promoting the Transformation of Financial Accounting in the Digital Economy Era by Zhao Jinjiang

    Published 2024-01-01
    “…The results show that the comprehensive scores after the transformation of financial accounting have all risen sharply, and the score of the work content indicator in financial risk avoidance has risen from 4 points before the transformation to 9.5 points. …”
    Get full text
    Article
  6. 626

    Evaluation of financial failure of healthcare companies traded in BIST with Fulmer H and Springate S Score Models by Ünal Şimşek, İnci Merve Altan

    Published 2023-12-01
    “…For this purpose, financial risk situations were examined with Fulmer H and Springate S score models using the financial statement data of 8 companies in the BIST100 index over the period 2019–2022. …”
    Get full text
    Article
  7. 627

    Theoretical Aspects on Measures of Directed Information with Simulations by Thomas Gkelsinis, Alex Karagrigoriou

    Published 2020-04-01
    “…Many times in statistics we wish to emphasize not only on the quantitative characteristics but also on the qualitative ones. For example, in financial risk analysis it is common to take under consideration the existence of fat tails in the distribution of returns of an asset (especially the left tail) and in biostatistics to use robust statistical methods to trim extreme values. …”
    Get full text
    Article
  8. 628

    Does credit default swap spread affect the value of the Turkish LIRA against the U.S. dollar? by M. Kabir Hassan, Selim Kayhan, Tayfur Bayat

    Published 2017-03-01
    “…We conclude that market risk as a part of financial risk has become an important factor in determining exchange rate fluctuations in the Turkish economy during the post-crisis period.…”
    Get full text
    Article
  9. 629

    Financial derivatives and the commercial banks performance in UAE by Olumide Owoeye, Mohamud Ambashe, Pradeep Singh

    Published 2024-01-01
    “…The study examines the determinants of financial derivatives on the performance of commercial banks in UAE and the financial risk exposure between derivatives financial assets and derivatives financial liabilities. …”
    Article
  10. 630

    Diversification of crops: Assessment of managerial flexibility and economic impact on sugarcane medium-sized farms by David Ferreira Lopes Santos, Samara Marques Gomes

    Published 2022-11-01
    “…The results indicate that the diversification strategy for the investigated context generates: lower financial risk for the farm, higher potential return on investment, and higher economic value added.…”
    Get full text
    Article
  11. 631

    BANKRUPTCY RISK – CENTRAL POINT IN THE FINANCIAL – ACCOUNTING DIAGNOSIS by Gheorghe HOLT

    Published 2009-12-01
    “…It is greater when the fixed costs weight is more important. Secondly, the financial risk is evaluated through the financial coefficient leverage, calculated as the sensitivity of net profit to the operating profit variability. …”
    Get full text
    Article
  12. 632

    Greenhouse gas emissions and stock market volatility: an empirical analysis of OECD countries by Jung Hee Noh, Heejin Park

    Published 2023-01-01
    “…Originality/value – This study contributes to the literature in that it provides additional empirical evidence for the financial risk posed by climate change.…”
    Get full text
    Article
  13. 633

    Stochastic Comparisons of Some Distances between Random Variables by Patricia Ortega-Jiménez, Miguel A. Sordo, Alfonso Suárez-Llorens

    Published 2021-04-01
    “…Applications in actuarial and financial risk management are given.…”
    Get full text
    Article
  14. 634

    Contemporary business transactions in international trade: Franchising by Munitlak-Ivanović Olja

    Published 2014-01-01
    “…The aim of this research is to show that the franchise business monitors reduced market and financial risk , because you already earned a reputation company franchisor, behind them, with developed marketing system, facilitates their penetration into the market with very little of their own investment and therefore risk. …”
    Get full text
    Article
  15. 635

    A literature review of stock price crash risk: Evidence from its influencing factors by Xiao Di

    Published 2023-01-01
    “…Therefore, it’s important to investigate what factors may affect stock price crash risk which may be helpful for stakeholders to effectively cope with and prevent the financial risk. In this paper, I investigate the existing literature of the influencing factors of stock price crash risk. …”
    Get full text
    Article
  16. 636

    MANAJEMEN RESIKO PEMBIAYAAN DI BAITUL MAAL WA TAMWIL DAN BANK PEMBIAYAAN RAKYAT SYARIAH: SEBUAH STUDI PERBANDINGAN by Edi Susilo, Abdul Hakim

    Published 2017-10-01
    “… This paper analyzes the impact of regulation and supervision system on the application of financial risk management in BMT Beringharjo (hereafter BMTB) and BPRS Madina (hereafter BPRSM). …”
    Get full text
    Article
  17. 637

    Disease Control Priorities Third Edition Is Published: A Theory of Change Is Needed for Translating Evidence to Health Policy by Ole F. Norheim

    Published 2018-09-01
    “…This evidence provides insights into how investing in health, particularly though priority interventions and expanded access to health insurance and prepaid care, can not only save lives but also help alleviate poverty and provide financial risk protection. The article discusses some of the relevant factors needed to develop a Theory of Change for translating economic evidence to better priority setting within countries, and proposes some key strategic choices that are necessary to achieve the desired outputs and outcomes.…”
    Get full text
    Article
  18. 638

    What can management accounting practitioners and academics do to improve risk measurement and forewarn impending financial crises? / Sriya Kumarasinghe and Roger Willett by Kumarasinghe, Sriya, Roger, Willett

    Published 2010
    “…Our main focus is on the lack of reliable measurement of financial risk and its consequences. The importance of collaborative multi-disciplinary research through partnerships between academics and practitioners is emphasised.…”
    Get full text
    Article
  19. 639

    Inference for large financial systems by Giesecke, K, Schwenkler, G, Sirignano, JA

    Published 2019
    “…Numerical results for a mean‐field model of systemic financial risk highlight the efficiency and accuracy of our estimator.…”
    Journal article
  20. 640

    Mind the gap: why wealthy voters support Brexit by Green, J, Pahontu, RL

    Published 2024
    “…Wealth provides self-insurance against financial risk, reducing risk aversion. We apply this insurance mechanism to electoral behaviour, arguing that a voter who desires a change to the status quo and who is wealthy is more likely to vote for change than a voter who lacks the same self-insurance. …”
    Journal article