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Articles
1-71 out of 71 article(s)
| Title |
Author |
Type |
Date |
Words |
| Trade Practices: Litigation and Dispute Resolution Insights. |
Bishop, Douglas |
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Dec 7, 2009 |
921 |
| Uncertainties inherent in synthetic CDOs / credit default swaps. |
|
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Aug 13, 2009 |
2021 |
| Yen the Default Counter Currency as Fundamentals Fail. |
|
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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. |
|
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Nov 21, 2008 |
624 |
| EU incentives for risk investments in SMEs. |
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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 |
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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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