Measuring the Impact of Transition Risk on Financial Markets: A Joint VaR‐ES Approach
ABSTRACT Based on a joint quantile and expected shortfall semiparametric methodology, we propose a novel approach to forecasting market risk conditioned to transition risk exposure. This method allows us to forecast two climate‐related financial risk measures called CoClimateVaR$$ CoClimateVaR $$ and CoClimateES$$ CoClimateES $$, being jointly ...
Laura Garcia‐Jorcano+1 more
wiley +1 more source
Digital inclusive finance penetration and household debt maturity structure: Empirical estimation based on China Family Panel Studies Data. [PDF]
Hou J, Zhang Y.
europepmc +1 more source
ABSTRACT This study explores quiet quitting—a distinct form of workplace withdrawal—in the Greek context, adopting a multilevel approach to understand how cultural, institutional and individual factors shape this emerging phenomenon. Drawing upon relevant literature, we investigate the macro, meso‐organizational, and micro‐individual level factors that
Andri Georgiadou+2 more
wiley +1 more source
The accuracy of forecasted hospital admission for respiratory tract infections in children aged 0-5 years for 2017/2023. [PDF]
Methi F, Magnusson K.
europepmc +1 more source
A Multi‐Level Systems Perspective on (Un)sustainable HRM in Adult Social Care
ABSTRACT This paper contributes to sustainable HRM theory, policy, and practice by applying and extending systems theory. A framing is developed and applied by triangulating data from 85 interviews with workers, managers, and other stakeholders (e.g., unions, employer representatives, charities) in adult social care, along with qualitative and ...
Emma Hughes, Tony Dundon
wiley +1 more source
Trade deregulation and fiscal revenue in selected Pacific Island countries. [PDF]
Makun K, Singh B.
europepmc +1 more source
Coordinating public debt management with fiscal and monetary policies : an analytical framework [PDF]
This paper proposes a sovereign asset and liability management framework for analyzing the inter-relationships between debt management, fiscal and monetary policies.
Togo, Eriko
core
Insolvency assistance outside the Model Law: Section 426 of the UK Insolvency Act 1986
Abstract This article critically examines s426 Insolvency Act 1986 and its position in the UK’s Cross Border insolvency firmament. It traces the origins of s426 to a recommendation of the 1982 Cork Committee and notes that it replaced s122 Bankruptcy Act 1914 while giving the substantive provisions a more contemporary feel and modern gloss. The article
Gerard McCormack
wiley +1 more source
The goals and theories of the new Ethiopian insolvency regime against global benchmarks
Abstract This study offers a comprehensive examination of the goals and theoretical foundations of the new Ethiopian insolvency regime. The study identifies and examines the goals of insolvency in Ethiopia to ascertain which interests are protected and how.
Samuel Biresaw, Mia Rahim
wiley +1 more source
Banking market consolidation in Asia: Evidence from acquirers, targets, and rivals
Abstract We analyse the financial sector consolidation in Asia by using a comprehensive sample of bank M&As from 1995 to 2021. Our results show that M&A announcements by Asian domestic acquirers are associated with significant positive stock price returns to both acquirers and their rivals.
Sascha Kolaric+2 more
wiley +1 more source