Showing 161 - 180 results of 349 for search '"Financial risk management"', query time: 3.99s Refine Results
  1. 161
    by Wei-Yun Chang, 張瑋芸
    Published 2005
    ... risk management, and tries to establish financial hedging strategies for businesses. Finally...
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  2. 162
    by Li, Jia-Chi, 李家琦
    Published 2015
    ... in financial risk management. Value at Risk (VaR) is often used to measure the potential loss of financial...
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  3. 163
    by Ahmed, Sajjad
    Published 2009
    ... includes financial risk management in the framework of a two stage stochastic programme for energy...
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  4. 164
    by Ahmed, Sajjad
    Published 2009
    ... includes financial risk management in the framework of a two stage stochastic programme for energy...
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  5. 165
    by Rogiene Batista dos Santos
    Published 2016
    ..., financial risk management can create value for the shareholder, due to market imperfections. Thus...
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  6. 166
    by Tanriseve, Fehmi
    Published 2015
    ... on the value of integrated financial risk management activities by publicly traded established firms under...
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  7. 167
    ... techniques and methods of financial risk management....
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    Article
  8. 168
    by Moonasar, Viresh
    Published 2009
    ...Credit risk analysis is an important topic in financial risk management. Financial institutions...
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  9. 169
    by Edi Susilo, Abdul Hakim
    Published 2017-10-01
    ... risk management in BMT Beringharjo (hereafter BMTB) and BPRS Madina (hereafter BPRSM). As understood...
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    Article
  10. 170
    by Cantürk KAYAHAN
    Published 2009-01-01
    ... contemporary financial risk management instruments which can be used for protecting firms to changing market...
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    Article
  11. 171
    by Cenk AKKAYA, Ceren UZAR
    Published 2011-07-01
    ..., determining transaction manipulation, determining financial risk management, determining customer profile...
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    Article
  12. 172
    by Yanju Zhou, Qian Chen, Xiaohong Chen, Zongrun Wang
    Published 2014-01-01
    ... is popularized in financial risk management, to estimate their risk attitude. We establish a buyback policy model...
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    Article
  13. 173
    by Yongsheng Hang, Yue Liu, Xiaoyang Xu, Yan Chen, Shu Mo
    Published 2017-10-01
    ...Sensitivity analysis is widely applied in financial risk management and engineering; it describes...
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    Article
  14. 174
    by Hays, Douglas C.
    Published 2012
    ...MBA Professional Report === In recent years, financial risk management has received increasing...
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  15. 175
    by Moonasar, Viresh
    Published 2009
    ...Credit risk analysis is an important topic in financial risk management. Financial institutions...
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  16. 176
    by Choong, Jern Wei, 鍾振蔚
    Published 2015
    ... in financial risk management. Here we focus on the estimation of Value-at-risk (VaR), which is the threshold...
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  17. 177
  18. 178
    ... program of financial risk management. The research is based on a cluster analysis that describes the most...
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    Article
  19. 179
    by Yan-Ching Sung, 宋燕青
    Published 2014
    ..., on the other hand explore the financial risk management in the earnings impact of the enterprise value...
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  20. 180
    by N. A. Pangarker, E.v.d.M. Smit
    Published 2013-09-01
    ... success as part of financial risk management. This study utilises global box office revenue in assessing...
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    Article