Results 91 to 100 of about 527,863 (357)
Capital Structure and Investment Behaviour of Malaysian Firms in the 1990s: A Study of Corporate Governance before the Crisis [PDF]
This is an empirical study analyzing the corporate finance and governance structure in Malaysia before and after the financial crisis of 1997, utilizing the agency cost approach.
Anderson, Eike F. +2 more
core +2 more sources
The Anatomy of Consumption in a Household Foreign Currency Debt Crisis
Győző Gyöngyösi +2 more
openalex +1 more source
ABSTRACT This study examines the impact of CEO duality on the likelihood of corporate participation in an emissions trading scheme. The results indicate that firms led by dual‐role executives are less likely to participate in emissions trading schemes.
Ibrahim Ayoade Adekunle +3 more
wiley +1 more source
European sovereign debt crisis and linkage of long-term government bond yields [PDF]
Based on the robust cross-correlation function approach developed by Hong (2001), this paper investigates the causality-in-mean and the causality-in-variance of long-term bond yields in seven countries including “PIIGS†(Portugal, Ireland, Italy ...
Go Tamakoshi
core
Credit Risk Assessment in the Climate Shadow: Evidence From White and Grey Literature
ABSTRACT Climate change is reshaping financial stability, making climate risk a critical component of banks' risk management. However, the absence of standardized frameworks validated by central authorities hinders banks' ability to integrate climate risk into existing credit risk models.
Rodolfo Raimondi +3 more
wiley +1 more source
A European mechanism for sovereign debt crisis resolution: a proposal [PDF]
This Bruegel Blueprint argues that Europe should take the lead in defining a solution to the problem of excessive public debts and create a European Crisis Resolution Mechanism (ECRM).The authors, Francois Gianviti, Anne O.
André Sapir +4 more
core +1 more source
Was 2008 Crisis Predictable in Korea?: A Signal Approach
This paper investigates whether the 2008 crisis in Korea was predictable by applying the signal approach. It shows that the early warning model constructed to predict the 1997 crisis in Korea works very well to predict the 2008 crisis implying the ...
Won-Am Park
doaj +1 more source
Public Debt Accumulation in SSA: A Looming Debt Crisis [PDF]
Michael Atingi-Ego +2 more
openalex +1 more source
ABSTRACT In an era of increasing environmental awareness, this study analyzes the relationship between board characteristics and corporate climate commitment across various industries. Our empirical analysis examines a comprehensive dataset that includes 4027 firms from the United States and Canada over the period from 2010 to 2022 and employs panel ...
Ines Ben Mehrez +2 more
wiley +1 more source
Sovereign Risk Management in Recession: The Cases of Sweden and China [PDF]
Sovereign risk became a common issue after 2007 financial crisis happened. However, the crisis was only an incentive. Some high sovereign risk countries had lacked reliable sovereign risk management framework and lend overmuch debt before the crisis came.
Zhang, Yuewen
core +1 more source

