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Title Author Type Date Words
THE ECONOMIC EXPLAINABILITY OF MACHINE LEARNING AND STANDARD ECONOMETRIC MODELS-AN APPLICATION TO THE U.S. MORTGAGE DEFAULT RISK. Kim, Dong-Sup; Shin, Seungwoo Report Aug 7, 2021 9276
The Fallacy of Climate Financial Risk. Jul 23, 2021 1027
D-SIBs more exposed to reputational risk - BSP. Jun 9, 2021 737
ALASKA NATIVE CORPORATION ENDOWMENT MODELS. Snigaroff, Robert; Richards, Craig Jun 1, 2021 14866
Microfinancing in BARMM less risky-- ASA PH. Apr 26, 2021 710
Market Development For Derivatives Nears Completion -FMDQ. Apr 12, 2021 429
Without new Eurobonds, Kenya risks loan defaults. Apr 11, 2021 1533
Exchange Traded Derivatives Market To Go Live Soon - FMDQ. Apr 8, 2021 458
Are bankruptcies healthy for the tight oil sector? Apr 4, 2021 601
THE CROSS-BORDER TRANSPLANTATION OF VARIABLE UNIVERSAL LIFE INSURANCE: THE EVOLUTION AND THE REGULATORY CHALLENGES. Li, Xingxing Mar 22, 2021 26277
Cash boost for housing project hits dead end; FINANCIAL RISK IS TOO GREAT FOR COUNCIL. HERBERT SODEN Local Democracy Reporter herbert.soden@ncjmedia.co.uk Jan 18, 2021 556
LAND ASSETS, URBAN INVESTMENT BONDS, AND LOCAL GOVERNMENTS' DEBT RISK, CHINA. Zhang, Juanfeng; Li, Lele; Yu, Ting; Gu, Jie; Wen, Haizhen Report Jan 1, 2021 8797
THE COMPLEX IMPLICATIONS OF FINTECH FOR FINANCIAL INCLUSION. Hughes, Heather Jan 1, 2021 6625
China steps up pressure on Alibaba with antimonopoly probe Alibaba: Communist leaders aim to reduce financial risk. JOE McDONALD AP Business Writer Dec 25, 2020 734
Medicare Part D Prescription Drug Benefit. Kirchhoff, Suzanne M. Report Dec 1, 2020 36276
Watchdog on its toes over pandemic-induced financial risk contagion. Nov 18, 2020 729
Kenya's piling debt poses a default risk - experts. Oct 22, 2020 755
A Brief Introduction to the National Flood Insurance Program. Horn, Diane P. Oct 1, 2020 1749
A Brief Introduction to the National Flood Insurance Program: Homeland Security Issues in the 116th Congress. Oct 1, 2020 1082
Pension Fiduciaries and Climate Change: A Canadian Perspective. Peihani, Maziar Sep 22, 2020 16759
DOES DEFAULT RISK MATTER FOR INVESTORS IN REITs. Sha, Yezhou; Wang, Zilong; Bu, Ziwen; Mansley, Nick Report Sep 1, 2020 11272
An Optimal Portfolio Problem of DC Pension with Input-Delay and Jump-Diffusion Process. Xu, Weixiang; Gao, Jinggui Report Aug 31, 2020 5987
Multifamily Housing Finance and Selected Policy Issues. Getter, Darryl E. Report Aug 1, 2020 12481
Mortgage Default Risk Set to Rise With Hurricane Risk. Aug 1, 2020 476
DAMAGE CONTROL: Parametric Insurance: An Emerging Tool for Financial Risk Management. Kavanagh, Shayne C.; Fu, Elizabeth Aug 1, 2020 7265
Assessment of Financial Risks on Financial performance of Conventional Banks: An Empirical Evidence from Pakistan. Javid, Snober; Farooqi, Madiha Rehman; Shoukat, Ayesha; Rasheed, Abid Jun 15, 2020 5331
Textual Analysis for Risk Profiles from 10-K Filings: Evidence from Audit Opinions. Liu, Manlu; Wu, Kean; Yang, Rong; Yu, Yang Jun 1, 2020 2380
The Nature of the Fintech Firm. Jackson, Howell E. May 28, 2020 5948
Smart Contracts and the Illusion of Automated Enforcement. D'Onfro, Danielle May 28, 2020 7913
PS300k-a-month crisis costs for district council; Heightened risk of fraud and cyber attacks, officials are told. KERRY ASHDOWN Local Democracy Reporter May 19, 2020 235
Aqib Javed urges cricket boards to resume play as financial risk grows. May 16, 2020 338
Aqib Javed urges cricket boards to resume play as financial risk grows. May 16, 2020 324
AMENDMENT WOULD LESSEN FINANCIAL RISK FOR EMPLOYERS HIRING FROM OVERSEAS. May 14, 2020 430
Biggest clubs are at the most financial risk. Miller Willie DONS LEGEND WHO'S ALWAYS ON THE BALL Apr 28, 2020 242
Senior official says financial risk remains controllable in Hong Kong. Apr 26, 2020 230
Private Flood Insurance and the National Flood Insurance Program. Horn, Diane P.; Webel, Baird Report Apr 1, 2020 14454
Endogenous debt maturity and rollover risk. Mar 22, 2020 15449
Financial planning: Remember to plan for risk. Rood, Deborah K. Mar 1, 2020 1488
CLO RISK RETENTION: A CASE STUDY IN REGULATORY INDISCRETION. Ganz, Elliot; Black, Phillip Mar 1, 2020 7688
Option Pricing for Path-Dependent Options with Assets Exposed to Multiple Defaults Risk. He, Taoshun Mar 1, 2020 3977
PSO lands in trouble as default risk mounts. Ahmad Ahmadani Feb 5, 2020 564
ANALYZING POLITICAL AND SYSTEMIC DETERMINANTS OF FINANCIAL RISK IN LOCAL GOVERNMENTS. Navarro-Galera, Andres; Lara-Rubio, Juan; Buendia-Carrillo, Dionisio; Rayo-Canton, Salvador Feb 1, 2020 7674
Mortgage Default Risk: A Better Replacement for the QM Rule's Debt-to-Income Ratios than the APOR Rate Spread. Peter, Tobias; Pinto, Edward Feb 1, 2020 9961
NETWORK-SENSITIVE FINANCIAL REGULATION. Enriques, Luca; Romano, Alessandro; Wetzer, Thom Jan 1, 2020 25794
WHAT KIND OF FINANCE SHOULD THERE BE? Omarova, Saule T. Jan 1, 2020 11202
THE EMERGENCE OF LAW AND MACROECONOMICS: FROM STABILITY TO GROWTH TO HUMAN DEVELOPMENT. Ramirez, Steven A. Jan 1, 2020 6870
The Impact of Behavioural Finance Biases & Demographic Factors on Financial Risk Tolerance of the Individual Investors with Moderating Role of Personality Traits at Pakistan Stock Exchange. Hamid, Shahzad; Arfeen, Irfan Ul Llaha Jan 1, 2020 6276
Corporate Leverage and Investment. Marsh, W. Blake; Rodziewicz, David; Chelluri, Karna Jan 1, 2020 6496
Commentary: Financial Risk Assessment For Alaska-To-Alberta Rail Freight Awaits. FreightWaves Dec 20, 2019 1912
Global trade dispute picked as financial risk factor for S.Korea: poll. Dec 9, 2019 185
Apples + Oranges = Risks in nontraditional acquisitions. Rood, Deborah K. Dec 1, 2019 1438
Uxin results significantly impacted by loan unit spinoff, says JPMorgan. Sep 23, 2019 109
International Strategic Alliances in the Iranian Home Appliance Industry: A Model of the Perceived Risks for Foreign Partners. Khashei, Vahid; Ashofteh, Iman; Rahmanseresht, Hossein; Ebrahimi, Mahdi Report Sep 22, 2019 8537
CMA: Elevating My Career. Alberti, Marcelo Viewpoint essay Sep 1, 2019 529
Climate-Related Risk Disclosure Under U.S. Securities Laws. Su, Eva; Vanatko, Nicole Sep 1, 2019 1539
Decades from retirement? How to handle market moves. Bonfiglio, Bob Aug 16, 2019 421
Weight of the Default Component of CDS Spreads: Avoiding Procyclicality in Credit Loss Provisioning Framework. Gubareva, Mariya Jul 31, 2019 14770
THE ECONOMIC RELEVANCE OF ON-SITE CONSTRUCTION ACTIVITIES WITH THE EXTERNAL THERMAL INSULATION COMPOSITE SYSTEM (ETICS). Sulakatko, Virgo; Lill, Irene Report Jul 1, 2019 10607
The Incentive Model in Supply Chain with Trade Credit and Default Risk. Cheng, Hong; Su, Yingsheng; Yan, Jinjiang; Wang, Xianyu; Li, Mingyang May 31, 2019 7916
CENTRAL CLEARING OF FINANCIAL CONTRACTS: THEORY AND REGULATORY IMPLICATIONS. Schwarcz, Steven L. May 1, 2019 23219
Pricing Chinese Convertible Bonds with Default Intensity by Monte Carlo Method. Luo, Xin; Zhang, Jinlin Apr 30, 2019 6637
Explaining Why Investors Hold Sovereign Bonds with Default Risk. Gorman, Linda Apr 1, 2019 752
The Usage of Derivatives in Corporate Financial Risk Management and Firm Performance. Lee, Kin-Wai Mar 22, 2019 8235
Allianz Offers Reputational Protection in UK to Replace Lost Profits in a Crisis. Mar 1, 2019 781
Collateral Quality and Loan Default Risk: The Case of Vietnam. Le, Chau H.A.; Nguyen, Hieu L. Report Mar 1, 2019 6458
Has the Public Health System Provided Adequate Financial Risk Protection for Child Birth Conditions--Evidences From an Eastern Indian State. Rout, Sarit Kumar; Mahapatra, Sandeep Report Mar 1, 2019 3219
Chinese banking regulator says it has won in campaign against financial risk. Feb 25, 2019 106
Chinese banking regulator says it has won in campaign against financial risk. Feb 25, 2019 104
Forum Energy believes is in a strong financial position and low financial risk. Feb 7, 2019 144
S. Korea's default risk dips to lowest in 11 years: report. Feb 2, 2019 302
Mortgage Risk Since 1990. Davis, Morris A.; Larson, William D.; Oliner, Stephen D. Report Feb 1, 2019 19680
For people who enjoy scholarship. Scordis, Nicos A. Editorial Jan 1, 2019 836
People Analytics: A Board's Fiduciary Duty? Gentine, Joshua; Mohindra, Amit Jan 1, 2019 773
Risk Determinants on Foreign Exchange Banking Based on Endogenous Variable Using Probit Models. Puspitasari, Devy M.; Febrian, Erie; Anwar, Mokhammad; Sudarsono, Rahmat Report Jan 1, 2019 2994
Are Low Equity [R.sup.2] Firms More or Less Transparent? Evidence from the Corporate Bond Market. Hao, Wei; Prevost, Andrew; Wongchoti, Udomsak Report Dec 22, 2018 22507
California Commissioner Pushing Insurer Fossil Fuel Divestment to The End. Dec 20, 2018 1781
Panel No crisis plan is perfect, but having none 'a disaster'. Dec 6, 2018 619
Fitch Assigns Modernland's Proposed USD Notes 'B(EXP)' Rating. Nov 30, 2018 1650
Managing Corporate Spreadsheet Risks. Umney, Henry Nov 1, 2018 1129
REMEMBERING FINANCIAL CRISES: THE RISK IMPLICATIONS OF THE RISE OF INSTITUTIONAL INVESTORS IN PROJECT FINANCE. Park, David J. Nov 1, 2018 15797
Soft Space Forms a Strategic Alliance with Jewel Paymentech. Oct 16, 2018 800
Healthy Credit Habits Now Offers Business Credit Financing Options, Which Helps Business Owners Double Their Borrowing Power and Reduce Personal Financial Risk. Oct 8, 2018 425
Brazilian central bank says politics is a financial risk. Oct 4, 2018 110
Brazilian central bank says politics is a financial risk. Oct 4, 2018 108
Out-of-Pocket Payments, Catastrophic Health Expenditure and Poverty Among Households in Nigeria 2010. Aregbeshola, Bolaji Samson; Khan, Samina Mohsin Sep 1, 2018 7038
Does Economic Policy Uncertainty Lead Systemic Risk? A Comparative Analysis of Selected European Countries. Stolbov, Mikhail; Karminsky, Alexander; Shchepeleva, Maria Report Sep 1, 2018 9758
Turkey sees no economic and financial risk, says finance minister. Aug 29, 2018 122
THE ANTHROPOCENE IN THE TIME OF TRUMP, FINANCIAL MARKETS, CLIMATE CHANGE RISK, AND VULNERABILITY. Sarra, Janis Aug 1, 2018 20621
Fitch Affirms Solusi Tunas at 'BB-'/'A+(idn)'; Withdraws Ratings. Aug 1, 2018 1224
Fitch Affirms Protelindo at 'BBB-'/'AAA(idn)'; Outlook Stable. Aug 1, 2018 1339
Fitch Affirms Ratings on Indonesian Securities Companies. Jul 14, 2018 837
Creating an investment portfolio. Tober, Lyn Jul 6, 2018 542
The Reserve Bank's philosophy and approach to stress testing. Dunstan, Ashley Jul 1, 2018 4761
Income Structure and Insolvency Risk: An Empirical Analysis of Banking Sector of Pakistan. Akhtar, Shahzad; Iqbal, Javed; Ahmad, Noor Hayati Binti; Sandhu, Moeed Ahmad; Saleem, Hassan Mujtaba Report Jul 1, 2018 6760
Financial Investment Risks in Parmaceutical Industry: Analysis on Fluctuation of Stock Price. Liang, Wei; Ge, Hongxiang Report Jul 1, 2018 3470
INVESTING IN THE FUTURE: WHY THE SEC SHOULD REQUIRE A UNIFORM CLIMATE CHANGE DISCLOSURE FRAMEWORK TO PROTECT INVESTORS AND MITIGATE U.S. FINANCIAL INSTABILITY. Bishop, Robyn Jun 22, 2018 13182
Fitch Publishes First-Time 'AA-(idn)' Rating on PT Serasi Autoraya; Rates Bond Programme. Jun 9, 2018 832
Modeling the Response of Gasoline-Crude Oil Price Crack Spread Macroeconomic Shocks. Ewing, Bradley T.; Thompson, Mark A. Report Jun 1, 2018 4946
Fitch Affirms Indosat Ooredoo at 'BBB+'/AAA(idn); Outlook Stable. May 11, 2018 1094
Fitch Assigns Initial Rating of 'B-' to Gran Colombia Gold Corp.; Outlook Stable. May 4, 2018 1579
BANK COMPETITION AND FINANCIAL STABILITY: LIQUIDITY RISK PERSPECTIVE. Kim, Jeongsim Report Apr 1, 2018 20625
Perceived Risks in Online Shopping for Non Users of Internet--An Empirical Study in New Delhi. Tuteja, Geetu; Goyal, Falak Report Apr 1, 2018 5099
Fitch Affirms PT XL Axiata at 'BBB'/'AAA(idn)'; Outlook Stable. Mar 22, 2018 888
Valuing Firms Under Default Risk and Bankruptcy Costs: A WACC-Based Approach. Mari, Carlo; Marra, Marcella Mar 22, 2018 7508
Fitch Publishes 'AA(idn)' Rating on Mayora's Bond Programme, Rates Issuance. Mar 21, 2018 865
Free trade champion China gets serious about financial risk. Mar 13, 2018 524
Fitch Places 2 Indonesian Government-Related Entities on Watch Positive. Feb 26, 2018 178
Fitch: Dividends Pose Largest Financial Risk for Russian Telcos. Feb 5, 2018 351
PREDICTING BANKRUPTCY OF MANUFACTURING COMPANIES IN EU. Klepac, Vaclav; Hampel, David Abstract Jan 1, 2018 8119
The Relationship between Sentiment and Risk in Financial Markets. Paraboni, Ana Luiza; Righi, Marcelo Brutti; Vieira, Kelmara Mendes; da Silveira, Vinicius Girardi Report Jan 1, 2018 5634
Rural Exposure to Pension Reductions. Miller, Steven; Deller, Steven; Stallmann, Judith Report Jan 1, 2018 3865
Farmers Aren't Immune to Interest Rate Risk: A Duration Gap Analysis of Farm Balance Sheets. Takach, Jackson Report Jan 1, 2018 3683
Hydrological Layered Dialysis Research on Supply Chain Financial Risk Prediction under Big Data Scenario. Liu, Jia; Li, Shiyong; Zhu, Xiaoxia Jan 1, 2018 5614
Sovereign Credit Risk Assessment with Multiple Criteria Using an Outranking Method. de Lima Silva, Diogo F.; Silva, Julio Cezar Soares; Silva, Lucimario G.O.; Ferreira, Luciano; de Alm Jan 1, 2018 7791
Evolutionary Game Dynamics for Financial Risk Decision-Making in Global Supply Chain. Li, Zhi; Jin, Guanghao; Dua, Shen Jan 1, 2018 6834
The $50 Billion Threshold in the Dodd-Frank Act: Key Findings. Labonte, Marc; Perkins, David W. Dec 1, 2017 1013
Bank Systemic Risk Regulation: The $50 Billion Threshold in the Dodd-Frank Act. Labonte, Marc; Perkins, David W. Report Dec 1, 2017 20115
Russia throws Venezuela debt lifeline amid default risk. Nov 16, 2017 252
G24 Ministerial meeting raises concerns of potential global financial risk. Oct 13, 2017 457
The Impact of Corporate Social Responsibility on Default Risk: Empirical evidence from US Firms. Rizwan, Muhammad Suhail; Obaid, Asifa; Ashraf, Dawood Abstract Sep 1, 2017 10905
Introducing 'PEI'. Aug 30, 2017 1286
PS222m signing will prove no financial risk for PSG. Aug 18, 2017 171
The Patient Protection and Affordable Care Act's (ACA's) Transitional Reinsurance Program. Fernandez, Bernadette; Liu, Edward C. Report Aug 1, 2017 10136
Losing Public Health Insurance: TennCare Disenrollment and Personal Financial Distress. Argys, Laura M.; Friedson, Andrew I.; Pitts, M. Melinda; Tello-Trillo, D. Sebastian Aug 1, 2017 12773
Multivariate discriminant predictive modelling of transactional credit risk in SME and mid-corporate lending. Arora, Renu; Singh, Archana Jul 1, 2017 5847
Closure of bank accounts of remittance service providers: global challenges and community perspectives in Australia. de Koker, Louis; Singh, Supriya; Capal, Jonathan Jun 1, 2017 18572
Using a naive Bayesian classifier methodology for loan risk assessment: Evidence from a Tunisian commercial bank. Krichene, Aida Jun 1, 2017 8798
MANAGING THE FINANCIAL RISKS AFFECTING CONSTRUCTION CONTRACTORS: IMPLEMENTING HEDGING IN SRI LANKA. Fernando, Charith Kaushalya; Hosseini, M. Reza; Zavadskas, Edmundas Kazimieras; Perera, B.A.K.S.; Ra Jun 1, 2017 8426
Effective income tax rates by structural models of bankruptcy. Han, Dan; Qi, Howard; Xie, Yan Alice Report Mar 22, 2017 3807
Rethinking corporate governance for a bondholder financed, systemically risky world. Schwarcz, Steven L. Mar 1, 2017 12326
The world economy: forecast summary. Statistical data Feb 1, 2017 617
Are country and size risks priced in the Brazilian stock market? Sanvicente, Antonio Zoratto; Sheng, Hsia Hua; Guanais, Luiz Felipe Poli Report Jan 1, 2017 7549
Set-Valued Haezendonck-Goovaerts Risk Measure and Its Properties. Feng, Yu; Dong, Yichuan; Liu, Jia-Bao Report Jan 1, 2017 4642
How Discrimination Influences Financial Decisions. Dec 15, 2016 403
Theoretical frontier and applied innovation of financial risk contagion effect measurement based on copula method. Wang, Da; Zhang, Qiang Dec 1, 2016 4208
Reducing financial risk: a simple solution to curtail fraud and damage to a school district's reputation. Sullivan, James M. Dec 1, 2016 614
The global China worry: but are we worrying about the wrong risk? Lo, Chi Sep 22, 2016 1955
THE EFFECT OF HEALTH INSURANCE ON OUT-OF-POCKET PAYMENTS, CATASTROPHIC EXPENDITURES AND HEALTHCARE UTILIZATION IN GHANA: CASE OF GA SOUTH MUNICIPALITY. Aidam, Patricia W.; Nketiah-Amponsah, Edward; Kutame, Richard Sep 1, 2016 8806
Defining pathways and trade-offs toward universal health coverage: comment on "ethical perspective: Five unacceptable trade-offs on the path to universal health coverage". Verguet, Stephane Report Jul 1, 2016 1997
From the editors. Predkiewicz, Katarzyna; Kalinowska-Beszczynska, Olga; Karsai, Judit Editorial Jul 1, 2016 964
Selected determinants of mezzanine financing in Poland. Golej, Robert Abstract Jul 1, 2016 9237
Fitch Assigns 'AA-(idn)' Ratings to TBI's Bond. Jun 27, 2016 612
Chapter 11 for countries? Chatterjee, Satyajit Jun 22, 2016 6028
Warning on financial risk for elderly. Jun 15, 2016 103
Wells Fargo Invests in Financial Risk Technology Startup Jewel Paymentech Through Startup Accelerator Program. Jun 9, 2016 392
REAL ESTATE MARKET RISK IN BANK STOCK RETURNS: EVIDENCE FOR 15 EUROPEAN COUNTRIES. Martins, Antonio Miguel; Serra, Ana Paula; Martins, Francisco Vitorino Jun 1, 2016 12338
Risk Sharing and Macroprudential Policy in an Ambitious Capital Markets Union. May 2, 2016 3454
The Default Risk Surges. Apr 30, 2016 812
Millennials Avoid Financial Risk: Navy Federal. Apr 21, 2016 535
Fitch Revises Outlook on 3 Indonesian Palm Oil Producers to Negative. Mar 31, 2016 720
Risk-related activism: the business case for monitoring nonfinancial risk. Ho, Virginia Harper Mar 22, 2016 30678
Use of gold in financial risk hedge. Smirnova, Elena Jan 1, 2016 8607
Having financial risk boosts weight loss. Krisberg, Kim Jan 1, 2016 191
New Market Research Report: Global Big Data Enabled Market 2015-2019. Nov 19, 2015 482
4 Ways Clients Approach Risk: Many Hate It, a Few Love It. Nov 4, 2015 774
Alternative payment models will shift financial risk to providers: pay-for-value aims to reward quality outcomes with additional revenue. Albright, Brian Sep 22, 2015 2364
The impact of financial risk on business risk. Li, George; Hsiao, Ping; Li, Donglin Sep 22, 2015 6278
Takeover fears make TDC default risk jump most in Europe. Sep 16, 2015 562
Understanding the failures of market discipline. Min, David Sep 1, 2015 10537
Understanding the failures of market discipline. Min, David Sep 1, 2015 25483
Debt burden and perceived sovereign default risk: evidence from credit default swaps. Kriz, Kenneth A.; Wang, Qiushi; Issarachaiyos, Sikarn Report Jun 22, 2015 7500
First Arab economic forum on financial risk management kicks off. Jun 8, 2015 217
Financial risk evaluation in the context of international accounting normalization. Tinta, Alice May 1, 2015 4684
Moderating effects of sales promotion types. de Oliveira Santini, Fernando; Sampaio, Claudio Hoffmann; Perin, Marcelo Gattermann; Espartel, Lelis Report Apr 1, 2015 8247
New powers for Bank of England against future financial risk confirmed. Feb 3, 2015 214
New powers for Bank of England against future financial risk confirmed. Feb 3, 2015 212
Becoming a strategic risk adviser: how CPAs can move from compliance to strategy. Hancock, Bonnie V.; Beasley, Mark S. Feb 1, 2015 2240
Senators question president's authority to alter U.S. Cuba policy. Jan 26, 2015 345
Systemic risk and the pursuit of efficiency. Athreya, Kartik B. Jan 1, 2015 10319
Quantitative management of financial risk in supplying a health plan/La administracion cuantitativa del riesgo financiero en la provision de un plan de salud/A administracao quantitativa do risco financeiro na provisao de um plano de saude. Castro-Iragorri, Carlos Alberto Jan 1, 2015 5874
Do "too-big-to-fail" banks take on more risk? Afonso, Gara; Santos, Joao A.C.; Traina, James Dec 1, 2014 9941
The term structure of sovereign default risk in an emerging economy. Ojeda-Joya, Jair N.; Gomez-Gonzalez, Jose E. Report Dec 1, 2014 6228
Voluntary risk reporting in annual reports--case study of the practices of polish public companies. Wieczorek-Kosmala, Monika; Blach, Joanna; Gorczynska, Maria Dec 1, 2014 6843
Managing financially distressed suppliers: an exploratory study. Bode, Christoph; Hubner, Denis; Wagner, Stephan M. Report Oct 1, 2014 12430
Risk and information in the municipal bond market. Ang, Andrew Sep 22, 2014 2295
NFCC poll finds reluctance to take on mortgage risk. Brief article Aug 1, 2014 238
PH outgrows Asia's 'sick man' tag with lower bond default risk rating. Jun 6, 2014 590
Debt collection prevention management of receivables/debts in a company. Stach, Dariusz Jun 1, 2014 7552
Common pitfalls of cost-plus transfer pricing. Kren, Leslie Jun 1, 2014 1472
MCDM approach to evaluating bank loan default models. Kou, Gang; Peng, Yi; Lu, Chen Report Jun 1, 2014 8556
Moody's: When countries broke up, sovereign default risk spiked. May 22, 2014 470
Regulatory change, scrutiny drive top risks for 2014. Brief article May 1, 2014 124
Dubai-based National General Insurance outlook revised to positive by Standard & Poor's. Apr 28, 2014 577
Managing Extreme Financial Risk: Strategies and Tactics for Going Concerns. Brief article Apr 1, 2014 166
Credit-score cutoffs need recalibration to reflect current default risk. Apr 1, 2014 340
Angiotensin converting enzyme inhibitors v. angiotensin receptor blockers in the management of hypertension: a funder's perspective. Makkink, J.L.; Greeff, O.B.W. Report Apr 1, 2014 1383
Missed (inter)connections: proposed revisions to the Federal Reserve's approach to financial stability analysis under the Bank Holding Company Act. Dwight, Christopher S. Mar 1, 2014 10981
Financial Risk in China: Shadow Banks or the "Shadow of the Banks". Feb 28, 2014 2861
Entrepreneurial opportunities and poverty alleviation. Alvarez, Sharon A.; Barney, Jay B. Abstract Jan 1, 2014 13127
Financial attitudes, knowledge, and habits of chiropractic students: a descriptive survey. Lorence, Julie; Lawrence, Dana J.; Goertz, Christine M. Report Jan 1, 2014 4438
Optimization of the actuarial model of defined contribution pension plan. Li, Yan; Huang, Yuchen; Zhou, Yancong Report Jan 1, 2014 4853
Risk measurement for portfolio credit risk based on a mixed Poisson model. Chen, Rongda; Yu, Huanhuan Report Jan 1, 2014 5111
Realized jump risk and equity return in China. Chen, Guojin; Liu, Xiaoqun; Hsieh, Peilin; Zhao, Xiangqin Report Jan 1, 2014 8821
Precommitted investment strategy versus time-consistent investment strategy for a dual risk model. Zhang, Lidong; Rong, Ximin; Du, Ziping Report Jan 1, 2014 4795
Calibration of the volatility in option pricing using the total variation regularization. Zeng, Yu-Hua; Wang, Shou-Lei; Yang, Yu-Fei Report Jan 1, 2014 5746
Distributionally robust return-risk optimization models and their applications. Yang, Li; Li, Yanxi; Zhou, Zhengyong; Chen, Kejing Report Jan 1, 2014 4197
Optimal control of investment-reinsurance problem for an insurer with jump- diffusion risk process: independence of Brownian motions. Sheng, De-Lei; Rong, Ximin; Zhao, Hui Report Jan 1, 2014 7263
Forecasting Latin America's country risk scores by means of a dynamic diffusion model. Cervello-Royo, R.; Cortes, J.-C.; Sanchez-Sanchez, A.; Santonja, F.-J.; Villanueva, R.-J. Report Jan 1, 2014 6285
Complex dynamics of credit risk contagion with time-delay and correlated noises. Chen, Tingqiang; Li, Xindan; He, Jianmin Report Jan 1, 2014 4509
Solar-backed securities: opportunities, risks, and the specter of the subprime mortgage crisis. Jacoby, Samantha Dec 1, 2013 17247
The continuing problem of "too big to fail". Johnson, Simon H. Nov 1, 2013 6355
UAE borrowers press to cut loan costs as economy accelerates, default risk drops. Oct 16, 2013 463
-S&P Capital IQ launches default risk assessment tool. Oct 8, 2013 319
-S&P Capital IQ launches default risk assessment tool. Oct 8, 2013 315
Saving face in the Facebook age. Hagel, Jack Oct 1, 2013 652
N.Y. regulator confronts financial risks. Heires, Katherine Oct 1, 2013 1544
Foreign exchange rate sensitivity, FX equity exposure and stock price: a case of Bajaj Auto Limited. Joshi, Himanshu Oct 1, 2013 5429
Financial risk is declining. Berry, John M. Sep 22, 2013 2122
Default risk for Indian firms rise to one-year high. Aug 24, 2013 457
Winner takes all. Brown, Ellen Aug 7, 2013 2161
Finance's role in fostering innovation. Hagel, Jack Aug 1, 2013 682
Cyprus default risk high on weak growth prospects, high debt, says Moody's. Jul 15, 2013 672
Do psychological shocks affect financial risk taking behavior? A study of U.S. veterans. Bogan, Vicki L.; Just, David R.; Wansink, Brian Report Jul 1, 2013 6623
Risks remain as companies combat fraud. Hagel, Jack Jun 1, 2013 605
Online platform books events without financial risk. May 27, 2013 985
Extending the taxation-of-risk model to timing options and marked-to-market taxes. Chason, Eric D. Jan 1, 2013 16312
License to deal: mandatory approval of complex financial products. Omarova, Saule T. Dec 1, 2012 9134
License to deal: mandatory approval of complex financial products. Omarova, Saule T. Dec 1, 2012 25726
Outsourcing treasury management. Hagel, Jack Dec 1, 2012 510
The Basel III liquidity coverage ratio and financial stability. Hartlage, Andrew W. Dec 1, 2012 13981
The custom-to-failure cycle. Schwarcz, Steven L.; Chang, Lucy Dec 1, 2012 13233
Greek Default Risk still High-Finance Minister. Nov 14, 2012 347
Top four emerging trends in financial risk management. Interview Nov 1, 2012 1125
Concordance measures and second order stochastic dominance--portfolio efficiency analysis/Srovnavaci opatreni a stochasticka dominance druheho radu--analyza efektivity portfolia. Kopa, Milos; Tichy, Tomas Abstract Oct 1, 2012 6068
Hope, perceived financial risk and propensity for indebtedness. Barros, Lucia; Botelho, Delane Report Oct 1, 2012 10696
Impacts of rising health care costs on families with employment-based private insurance: a national analysis with state fixed effects. Yu, Hao; Dick, Andrew W. Oct 1, 2012 6720
The relative performance of small cap firms and default risk across the business cycle: international evidence. Switzer, Lorne N. Sep 4, 2012 5226
High Risk Social Media (Forbes). Aug 8, 2012 113
Dubai default risk falls on debt repayments, economy. Jul 18, 2012 607
What is the true measure of a top producer? Sherman, Tyler Jul 1, 2012 964
The rebirth of risk management. Ludwig, Sven Jul 1, 2012 838
Dynamics of capital markets and its impact on the cost of equity/Kapitalo rinku dinamika ir jos itaka nuosavam kapitalui. Nenkov, Dimiter N. Jul 1, 2012 7981
The impact of corporate social performance on financial risk and utility: a longitudinal analysis. Oikonomou, Ioannis; Brooks, Chris; Pavelin, Stephen Report Jun 22, 2012 17792
ARE currency forwards effective in volatile market conditions? An emerging market perspective. Bisen, Aditya; Rao, D. Tripati Report Jun 1, 2012 4420
Concerns about Risks Confronting Boards. Jun 1, 2012 175
KESC highlights rules for financial risk management. May 8, 2012 200
Retirees boost their financial risk with gold: if generating income is their primary financial goal, why are they overleveraged in non-income-producing assets? DeLEGGE, Ron May 1, 2012 628
Contractor costs of factoring account receivables for a construction project/Rangovo sanaudos, statybu projekto gautinas sumas perdavus faktoringo imonei. Chen, Jieh-Haur; Chen, Wei-Hsiang Case study Apr 1, 2012 5530
Derivatives clearinghouses and systemic risk: a bankruptcy and Dodd-Frank analysis. Allen, Julia Lees Apr 1, 2012 14210
Bankers, bureaucrats, and guardians: toward tripartism in financial services regulation. Omarova, Saule T. Mar 22, 2012 32062
Marginalizing risk. Schwarcz, Steven L. Mar 1, 2012 15241
Risk with donor pledges. Tysiac, Ken Mar 1, 2012 578
A spirited conversation assessing the risks and benefits of big banks. Discussion Mar 1, 2012 15851
Fragmentation nodes: a study in financial innovation, complexity, and systemic risk. Judge, Kathryn Mar 1, 2012 33753
Forming a captive insurance company? Understand the business and tax implications. Fox, Gary A.; McGuire, Lynn M. Mar 1, 2012 3964
Introduction to the symposium on 'financial risks and economic stability in emerging market economies'. Orlowski, Lucjan T. Dec 1, 2011 831
Extreme risks in financial markets and monetary policies of the euro-candidates. Gabrisch, Hubert; Orlowski, Lucjan T. Report Dec 1, 2011 9105
International banking and country risk calculus: the experience of Greek banks in Southeastern Europe. Kapopoulos, Panayotis; Lazaretou, Sophia Report Dec 1, 2011 7202
Reporting of internal control weaknesses and debt rating changes. El-Gazzar, Samir M.; Chung, Kwang-Hyun; Jacob, Rudolph A. Nov 1, 2011 6772
Empyrean Strategic Partners and MWI Solutions Form Alliance for Financial Risk Management and Profit Planning. Oct 19, 2011 366
MERKEL WARNS OF BUST GREECE; EU is facing crisis over default risk. Sep 29, 2011 299
Bahrain default risk at six-month high. Sep 22, 2011 414
(Systemic) risk and taxation. Edwards, Douglas O. Sep 22, 2011 21989
The effects of quantitative easing on interest rates: channels and implications for policy. Krishnamurthy, Arvind; Vissing-Jorgensen, Annette Sep 22, 2011 27077
Macro- and micro-level effects on responsive financial regulation. Ford, Cristie Sep 1, 2011 13217
Risk management, responsive regulation, and oversight of structured financial product markets. Sarra, Janis Sep 1, 2011 19597
Government passes the buck: the O'Farrell Government's attacks on public sector wages and conditions are merely the latest policy installment to make households carry the burden of financial risk. Sep 1, 2011 609
Regulating systemic risk: towards an analytical framework. Anabtawi, Iman; Schwarcz, Steven L. Aug 1, 2011 28214
What's happening to the Dodgers? Understanding and looking forward. Gurewitz, Lance Jul 29, 2011 1259
Eurozone leaders offer Greece lifeline with default risk. Jul 22, 2011 730
EUROZONE CRISIS SUMMIT. Brief article Jul 13, 2011 205
Resolving the presidential puzzle. Sy, Oumar; Zaman, Ashraf Al Jun 22, 2011 14462
Dubai default risk falls to lowest level since 2009. Jun 2, 2011 426
Chi Mei ratings raised to 'twA+' on improving financial risk. Shen, Ben Brief article May 27, 2011 255
Service sector more prone to financial risk. May 23, 2011 336
Egypt default risk continues to retreat. Mar 23, 2011 807
Using the law to reduce systemic risk. Sharfman, Bernard S. Mar 22, 2011 14756
Default risk rises as Bahrain bourse shuts. Mar 17, 2011 682
Panel data analysis of Malaysian listed banks on corporate governance and risk. Adnan, Muhamad Akhyar; Rashid, Hafiz Majdi Ab.; Meera, Ahamed Kameel Mydin; Htay, Sheila Nu Nu Mar 1, 2011 6153
The invisible power of machines: revisiting the proposed flash order ban in the wake of the flash crash. Sandler, Austin J. Feb 1, 2011 7266
Academy switch schools may be at financial risk. Jan 27, 2011 538
Turkey's response to the global economic crisis. Turhan, M. Ibrahim; Kilinc, Zubeyir Report Jan 1, 2011 2187
Taiwanese and Chinese banks sign 1st MOU to share profit & risk. Li, Judy Brief article Dec 3, 2010 216
Issues financial risk management. Zuberi, H. Jamal Nov 1, 2010 2086
The rise of computerized high frequency trading: use and controversy. McGowan, Michael J. Oct 15, 2010 10379
A proposed fat-tail risk metric: disclosures, derivatives, and the measurement of financial risk. Conti-Brown, Peter Oct 5, 2010 6370
Default and transition analysis of corporate debt rating. Bajaj, Richa Verma Report Oct 1, 2010 4853
ECONOMIC GOVERNANCE : OVERSPENDERS IN LINE FOR TOUGH SANCTIONS. Sep 27, 2010 497
Advice to clients in uncertain markets. Betancourt, Luis; VanDenburgh, William M.; Harmelink, Philip J. Sep 1, 2010 581
Time-varying volatility modelling of Baltic Stock Markets/Baltijos vertybiniu popieriu rinku nepastovumo modeliavimas. Aktan, Bora; Korsakiene, Renata; Smaliukiene, Rasa Report Sep 1, 2010 7865
Connecting the dots: a yield curve perspective on New Zealand's interest rates. Krippner, Leo Sep 1, 2010 8540
FSC requires domestic banks to take stress test for realty risk. Liu, Philip Jul 29, 2010 326
China : China local govt debt facing serious default risk: report. Jul 28, 2010 339
Smithfield Foods: Default Risk Not An Immediate Concern -- Fitch. Jul 27, 2010 188
China : China Banks Face Big Default Risk From Local Govt Loans. Jul 27, 2010 233
CRISIL revises to "stable" outlook on Jivraj Tea. Jun 24, 2010 433
Default risk in corporate yield spreads. Dionne, Georges; Gauthier, Genevieve; Hammami, Khemais; Maurice, Mathieu; Simonato, Jean-Guy Report Jun 22, 2010 12373
Distorting legal principles. Schwarcz, Steven L. Jun 22, 2010 18844
Your biggest financial risk: exposure to product contamination or failure may be the most critical evolving financial risk for a company. Careful planning and swift actions can reduce the likelihood of a product recall and minimize the damage to the company's reputation. Cahill, Katherine; Harrison, William W. May 1, 2010 1741
Managing financial risk in agriculture during turbulent times. Gray, Allan Apr 1, 2010 580
New financial risks for insurers. Elliott, Michael W. Apr 1, 2010 889
Seven deadly sins of financial risk management. Lister, Roger Apr 1, 2010 772
Overinvestment and the operating performance of SEO firms. Fu, Fangjian Report Mar 22, 2010 12913
The influence of political orientation on financial risk taking. Moore, Jeremy; Felton, James; Wright, Colby Mar 22, 2010 6886
Corporate default analysis in Tunisia using credit scoring techniques. Ureche-Rangau, Loredana; Ouertani, Nadia Mar 22, 2010 10563
The reduction of systemic risk in the United States financial system. Scott, Hal S. Mar 22, 2010 25346
Intellectual hazard: how conceptual biases in complex organizations contributed to the crisis of 2008. Miller, Geoffrey P.; Rosenfeld, Gerald Mar 22, 2010 13364
CRISIL rates International Conveyors' bank facilities at BBB+/P2. Mar 1, 2010 221
A taxonomic field investigation into induced bias in residential real estate appraisals/Gyvenamosios paskirties nekilnojamojo turto vertinimu taksonominis tyrimas siekiant nustatyti vertinimo paklaidas. Diaz, Julian, III; Hansz, J. Andrew Report Mar 1, 2010 7419
Signs of abating default risk. Occhino, Filippo; Fee, Kyle Mar 1, 2010 649

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