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Browse Risk (Economics) topic

 

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1-71 out of 71 article(s)
Title Author Type Date Words
Trade Practices: Litigation and Dispute Resolution Insights. Bishop, Douglas Dec 7, 2009 921
Uncertainties inherent in synthetic CDOs / credit default swaps. Aug 13, 2009 2021
Yen the Default Counter Currency as Fundamentals Fail. Jun 6, 2009 716
British Pound at the Mercy of Risk Appetite as Fundamentals Crumble. Jun 6, 2009 767
CADJPY Doesn't Escape the Whims of Risk Appetite. Brief article Jun 5, 2009 273
Post of the Day: Letting Profits Run. Brief article May 4, 2009 198
Mortgage industry consolidation. Nov 21, 2008 624
EU incentives for risk investments in SMEs. Nov 7, 2008 1064
Risk, regulation and competition in banking and finance in transition economies: introduction to the symposium. Kemme, David M.; Schoors, Koen; Vander Vennet, Rudi Report Jun 1, 2008 2458
Risk avoidance and risk taking under uncertainty: a graphical analysis. Chang, Yang-Ming Statistical data Mar 22, 2008 6127
China risk rising: a glass-is-half-empty scenario. Lo, Chi Jan 1, 2008 1223
Risks becoming increasingly complex. Alvarado, K. Oct 1, 2007 414
Modelling credit risk in the enterprise sector--further development of the SEBRA model. Bernhardsen, Eivind; Larsen, Kai Oct 1, 2007 4752
2007 Dissertation Award: a five-nation examination of financial risk tolerance. Goetz, Joseph W. Jan 1, 2007 436
Biggest benefits of risk management. Heffes, Ellen M. Brief article May 1, 2006 66
Managing the ultimate corporate risk. Leitner, Peter J. May 1, 2006 793
Identifying business risks: two consultants urge finance executives to become the eyes of their corporations--looking for threats and opportunities inside and outside--and to take the lead in risk management and decision-making to ensure their companies' long-term survival. Hackett, Greg May 1, 2006 2098
Fair value: world expos are designed to celebrate higher things than commerce, but, as with the Olympics, the financial risks and rewards of involvement are never far from the surface. Berens, Camilla May 1, 2006 1585
Fund managers welcome IFRS reports' transparency. Brief article Apr 1, 2006 189
Financial risk taking by age and birth cohort. Bernasek, Alexandra Apr 1, 2006 10088
Markets: investors told to focus on threat from Asia. Heffes, Ellen M. Brief Article Jul 1, 2005 273
The macroprudential approach to financial stability *. Gjedrem, Svein Jun 1, 2005 4077
Risky business? Not if you set thresholds, manage exposure: experts agree that companies are doing a poor job of assessing and managing risk--either they lack a mandate from executive management or they don't have the necessary discipline. As risk management becomes a still larger focus area, it's time for those that haven't identified and analyzed risk areas to do so. Marchetti, Anne May 1, 2005 1241
Security For Costs: Is Attack The Best Form Of Defence? Jan 7, 2005 1199
Women business owners are willing to take risks. Advertisement Aug 30, 2004 965
Managing IT as a business: Gartner, Inc. predicts that through 2007, 65 percent of enterprises will grossly mismanage complexity and risk, stifling productivity and earnings, and inflating costs by at least 25 percent. Lutchen, Mark D. Jul 1, 2004 1572
In praise of agnostic opportunism: managing risk as the traditional economic paradigm breaks down. Smick, David M. Mar 22, 2004 1443
Value-at-risk systems and their application in integrated risk management. Alade, Julius A. Mar 1, 2004 5662
Integrated strategy for risk control: capacity planning, contract selection, and financial diversification. Peng, H. Steve Mar 1, 2004 3002
Assessing financial risk at DND. Lionais, Mike C. Feb 1, 2004 2512
Banks' pricing of risk associated with corporate lending. Bernhardsen, Eivind; Larsen, Kai Mar 1, 2003 8011
What is systemic risk, and do bank regulators retard or contribute to it? Kaufman, George G.; Scott, Kenneth E. Jan 1, 2003 9945
Sources of hidden value and risk within tracking stock. Harper, Joel T.; Madura, Jeff Sep 22, 2002 9804
Snapshot of Risk Management Worldwide. (Update). Brune, Christina Brief Article Feb 1, 2002 339
CENTRAL BANK RESEARCH CONFERENCE ON RISK MEASUREMENT. Brief Article May 1, 2001 181
Risk in the Norwegian settlement system 1995-2000. Enge, Asbjorn; Bakke, Bjorn Apr 1, 2001 5350
Judging Your Portfolio's Return, Given Its Risk. Lindahl, Mary; Wachowicz Jr., John Statistical Data Included Mar 22, 2001 2044
Cost of Risk in United States Hits Lowest Point in Decade. Brief Article Feb 1, 2001 302
Bridging the Gap: Marketability Discounts for Real Estate Interests. Webb, Dennis A. Statistical Data Included Jan 1, 2001 11078
Venezuela scraps debt issue. Brief Article Dec 15, 2000 90
Beta and Return: Implications of Australia's Dividend Imputation Tax System. Wood, Justin Statistical Data Included Dec 1, 2000 8071
Foreign Investments Don't Reduce Risk. Brief Article Dec 1, 2000 396
Norges Bank's oversight of payment systems -- authorisation and supervision. Lund, May Helle; Watne, Kjetil Nov 1, 2000 7005
Nothing ventured, nothing gained. Reid, Gavin; Smith, Julia Oct 1, 2000 1105
Finance Theory and Future Trends: The Shift to Integration. Merton, Robert K. Sep 22, 2000 2820
Stock Markets, Behavior, and the Limits of History. Goetzmann, William N. Jun 22, 2000 3172
Moss. Brief Article Mar 22, 2000 193
Is forfaiting the answer for Africa? Giorgio, Emmanuelle Moors de Mar 1, 1999 1235
A timely tool for modeling credit risk. Barnes, Walter C.; Sprouse, Scott Feb 1, 1999 2463
The changing face of risk management. Oct 1, 1998 2683
Establishing a value-at-risk framework. Venkat, Shyam; Malhotra, Satyan Aug 1, 1998 1926
Evaluating future input assumption risk. Brown, Roger J. Apr 1, 1998 3437
Institutions for managing risks to living standards. Shiller, Robert J. Mar 22, 1998 2604
Biases in arithmetic and geometric averages as estimates of long-run expected returns and risk premia. Indro, Daniel C.; Lee, Wayne Y. Dec 22, 1997 3608
The effect of risk-aversion on the portfolio allocation between taxable bonds and non-taxable bonds of the same risk. Mantell, Edmund H. Sep 22, 1997 4006
What is your tolerance for risk? Brief Article Aug 1, 1997 624
Managing mortgage credit risk. Jaske, Andrew J. May 1, 1997 3883
The name of the game is risk. Moors de Giorgio, Emmanuelle Jun 1, 1996 1787
Dynamic implications of capital market perfection. Sinha, Deepak K. Apr 1, 1996 4656
An analysis of commercial bank exposure to interest rate risk. Houpt, James V. Feb 1, 1996 8166
Price uncertainty and the labor managed firm: comment. Paroush, Jacob Jan 1, 1996 1019
Price uncertainty and the labor managed firm: reply. Feinerman, Eli Jan 1, 1996 1097
How risk-prone are government investment managers? Illustration Dec 1, 1995 69
The influence of international risk on entry mode strategy in the computer software industry. Brouthers, Keith D. Jan 1, 1995 8812
Econometric tests of firm decision making under uncertainty - optimal output and hedging: comment. Dalal, Ardeshir J. Jul 1, 1994 2500
Optimal saving under general changes in uncertainty: a nonexpected utility maximising approach. Ghosh, Satyajit Jul 1, 1993 3620
Investment return and risk. Dilmore, Gene; Wilson, Albert R. Oct 1, 1992 4688
Estimating shareholder risk premia using analysts' growth forecasts. Harris, Robert S.; Marston, Felicia C. Evaluation Jun 22, 1992 4679
Parameter-estimation uncertainty, risk aversion, and "sticky" output decisions. Horowitz, Ira Apr 1, 1992 4541
Public accountancy: a profession at risk? Broom, Lowell S.; Brown, Steven C.R. Cover Story Oct 1, 1991 3367
Exchange offers and stock swaps - new evidence. Copeland, Thomas E.; Won Heum Lee Sep 22, 1991 7190

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