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[PDF] Top 20 Vue de Financial crisis, Governance and Risk management

Has 10000 "Vue de Financial crisis, Governance and Risk management" found on our website. Below are the top 20 most common "Vue de Financial crisis, Governance and Risk management".

Vue de Financial crisis, Governance and Risk management

Vue de Financial crisis, Governance and Risk management

... maturities and perpetual preferred equity with a cash ...states and state agencies, cities, museums and many ...market) and student-loan authorities (nearly 34% of the ...construction ... Voir le document complet

111

Structured Finance, Risk Management, and the Recent Financial Crisis

Structured Finance, Risk Management, and the Recent Financial Crisis

... the financial crisis, the underestimating of the default and the liquidity risks of the new structured financial products were signs of bad risk ...the crisis, and many ... Voir le document complet

7

Risk Management and Corporate Governance:  The Importance of Independence and Financial Knowledge for the Board and the Audit Committee

Risk Management and Corporate Governance: The Importance of Independence and Financial Knowledge for the Board and the Audit Committee

... level), and through a higher convexity tax advantage of hedging (Taxsave has a positive and significant coefficient at the 1% ...of financial knowledge, ...directors and an audit committee ... Voir le document complet

54

Efficiency of Insurance Firms with Endogenous Risk Management and Financial Intermediation Activities

Efficiency of Insurance Firms with Endogenous Risk Management and Financial Intermediation Activities

... Endogenous Risk Management and Financial Intermediation Activities ...Introduction Risk management is now present in many economic ...unsystematic risk, various market ... Voir le document complet

39

Contributions of Statistical Learning to Actuarial Sciences and Financial Risk Management

Contributions of Statistical Learning to Actuarial Sciences and Financial Risk Management

... L'incertitude de la compagnie d'assurances sur le comportement de rachat de son portefeuille d'assurés a un fort impact sur l'anticipation de ses ux nanciers futurs, et donc constitue un risque économique important ... Voir le document complet

217

Crisis Propagation and Governance

Crisis Propagation and Governance

... the financial and economic literature about the company’s effectiveness of corporate governance mechanisms related to the board of directors on the firm’s ability to resist the Asian financial ... Voir le document complet

18

Vue de Financial stability of islamic banks in the MENA countries during financial crisis and political uncertainty: an empirical investigation

Vue de Financial stability of islamic banks in the MENA countries during financial crisis and political uncertainty: an empirical investigation

... Islamic financial products are based on the idea of sharing profit and loss, they are very attractive to the people who require financial services consistent with their religious ...the ... Voir le document complet

25

Risk and Financial Management Article Systemic Risk Indicators Based on Nonlinear PolyModel

Risk and Financial Management Article Systemic Risk Indicators Based on Nonlinear PolyModel

... our risk decomposition methodology, the risk contribution to dependent variable Y from each risk factor includes systemic risk part that dominates the whole risk during financial ... Voir le document complet

25

Asymptotic approaches in financial risk management

Asymptotic approaches in financial risk management

... market, and analyzing their impact on the ...bank management to adverse unexpected outcomes related to a variety of risks and provides an indication of how much capital might be needed to absorb ... Voir le document complet

132

When You've Seen One Financial Crisis

When You've Seen One Financial Crisis

... to risk, and was further weakened by divided responsibilities between multiple ...Regulators and private lenders alike were again unaware of major firms’ exposure to losses on derivative securities; ... Voir le document complet

14

A Banker's Perspective on the Financial Crisis

A Banker's Perspective on the Financial Crisis

... importance and relevance to the current crisis since the message is not neutral but conditioned by accounting ...losses), and solvent again on the fourth day! While informative, is FVA-based ... Voir le document complet

59

Approaches To Crisis Prevention In Lean Product Development By High Performance Teams And Through Risk Management

Approaches To Crisis Prevention In Lean Product Development By High Performance Teams And Through Risk Management

... institutionalized risk management System, and significant problems exist in the area of documentation and communication of Risks [KPMG ...in risk management and are more ... Voir le document complet

170

Essays on risk management and financial stability

Essays on risk management and financial stability

... global financial crisis, we believe that the tentative answers provided by each chapter in this document are timely for several ...more risk to ensure profits to their shareholders driven by an ... Voir le document complet

184

The Global Financial Crisis and the European Integration Project

The Global Financial Crisis and the European Integration Project

... of financial assistance to the Euro-Med countries and possibly Ireland would be more than just the loss on the value of holdings of sovereign bonds and the bailout of the financial sector in ... Voir le document complet

28

Nonlinear Dynamics and Recurrence Plots for Detecting Financial Crisis

Nonlinear Dynamics and Recurrence Plots for Detecting Financial Crisis

... underlying financial time ...underlying financial times using the previously estimated values of embedding ...8 and Figure 9 the unthresholded recurrence plots which is sometimes termed distance plot ... Voir le document complet

23

Fair Value Accounting and the Financial Crisis: Messenger or Contributor?

Fair Value Accounting and the Financial Crisis: Messenger or Contributor?

... current financial crisis? This appendix explores the ...assets and liabilities get measured and reflected on a firm`s financial statements at their market value, or close ...that ... Voir le document complet

20

Currencies' exchange rate trend-before and after financial crisis

Currencies' exchange rate trend-before and after financial crisis

... An even more tremendous increase in the median correlation than in the mean correlation among pair-wise exchange rates during a period of crisis compared with other p[r] ... Voir le document complet

23

Evaluation of the financial risk and forecasting the ecological transition related with CO2 impacted by the Covid19 Crisis

Evaluation of the financial risk and forecasting the ecological transition related with CO2 impacted by the Covid19 Crisis

... projects and at national ...the risk of ...2008-09 financial crisis as regards the effectiveness of green fiscal ...activity, and to increase economic and societal returns on ... Voir le document complet

64

The East Asian Financial Crisis 1997-1998

The East Asian Financial Crisis 1997-1998

... ∗ These capital inflows created real estate and asset bubbles. When some of these bubbles started to burst in 1995-1996, investors started to change their portfolio positions, hence, reducing short- term capital ... Voir le document complet

46

The Financial Crisis: One Year Later

The Financial Crisis: One Year Later

... the financial crisis and economic recession since last ...continuing and updating last year’s analysis, the author offers an assessment of the three potential scenarios through which the ... Voir le document complet

21

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