-
121
Financial Aspects, Corporate Governance and Disclosure of Financial Risk: Case of Indonesia
Published 2023-06-01Subjects: Get full text
Article -
122
Application of Method of Financial Risk in Serbian Companies - Survey Sample Company
Published 2011-01-01Subjects: “…Financial risk management instruments…”
Get full text
Article -
123
Monitoring the Aspects of Financial Risk Protection Regarding Universal Health Coverage
Published 2023-11-01Get full text
Article -
124
Word Vector Models Approach to Text Regression of Financial Risk Prediction
Published 2020-01-01Subjects: Get full text
Article -
125
The Problems of Financial Risks Management in the Risk Management System and the Methods for Solving
Published 2022-10-01Subjects: “…financial risk…”
Get full text
Article -
126
Application of Method of Financial Risk in Serbian Companies - Survey Sample Company
Published 2011-06-01“…In this way, it would be possible to include different sizes of companies (on the number of employees) to include different types of financial measures in relation to the size of the company, for example, the factor of annual revenues. Keywords: Financial risk management instruments, Survey research, χ2-test of independence, t-test differences of means …”
Get full text
Article -
127
An Empirical Analysis of the Impact of Independent Director Characteristics on Enterprise Financial Risk
Published 2023-01-01“…The financial risk of enterprises is crucial to business managers and investors, and the establishment of the independent director system is intended to address the financial risk generated internally by enterprises. …”
Get full text
Article -
128
Application of Method of Financial Risk in Serbian Companies - Survey Sample Company
Published 2011-06-01“…In this way, it would be possible to include different sizes of companies (on the number of employees) to include different types of financial measures in relation to the size of the company, for example, the factor of annual revenues. Keywords: Financial risk management instruments, Survey research, χ2-test of independence, t-test differences of means …”
Get full text
Article -
129
Retracted: Financial Risk Avoidance Based on the Sensor Network and Edge Computing
Published 2023-01-01Get full text
Article -
130
New risk measures for variance distortion and catastrophic financial risk measures
Published 2021-12-01“…The author introduced two new classes of financial risk measures “VaR raised to the power of t” and “ES raised to the power of t” in his works and also investigated the issue of the belonging of these risk measures to the class of risk measures of expectation distortion, and described the corresponding distortion functions. …”
Get full text
Article -
131
Research on China’s financial risk prevention efforts and legal system support
Published 2023-01-01“…Financial risks are highly destructive and can have a negative impact on the entire financial system, so financial risk prevention is an important area of research in the regulation of China’s financial markets and requires the support of the legal system. …”
Get full text
Article -
132
Managing Financial Risks for Wind Power Producers in Wholesale Electricity Markets
Published 2024“…Wind power plant operators are exposed to financial risk in wholesale electricity markets due to the uncertain nature of wind forecasts, day-ahead electricity prices, and real-time electricity prices. …”
Get full text
Get full text
Thesis -
133
Essays on international transmission of monetary policy and global financial risk spillover
Published 2022“…This thesis explores international transmission of monetary policy and global financial risk spillover into emerging market economies in three aspects. …”
Get full text
Thesis-Doctor of Philosophy -
134
-
135
Assessing the potential of AI for spatially sensitive nature-related financial risks
Published 2024Report -
136
Financial risk attitudes, demographic profiles and behavioural traits: Do they interrelate?
Published 2017Get full text
Conference or Workshop Item -
137
Financial development, institutional quality, and financial risk of conventional and Islamic banks
Published 2018Subjects: “…Financial risk management…”
Get full text
Thesis -
138
-
139
-
140
The known, the unknown, and the unknowable in financial risk management : measurement and theory advancing practice /
Published c201Subjects: “…Financial risk management…”