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Financial Investment, Financial Risk and Risk Management
2018This chapter introduces the background knowledge for risk management in finance and outlines the contents of Part I.
Chunhui Xu, Takayuki Shiina
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Financial Innovation and Financial Risk
Advances in Economics, Management and Political Sciences, 2023The market economy has made new progress and development, and the development of the financial industry has gradually become internationalized. To occupy an important position in the fierce competition of the financial market and win more voice, Reform, and innovation are the development direction of financial enterprises in the future Financial ...
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Financial Risk and Financial Imbalances
2020The study of the financial imbalances of companies is a common topic for academics and practitioners because bankruptcy affects financial stability and modifies the investors' behavior. Since the 1960s, financial ratios have been used as diagnostic tools and also as independent variables within models aimed at quantifying firms' financial risk (e.g ...
Carlos Piñeiro Sanchez +1 more
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2000
many observers thought that derivatives, drowning in bad publicity and in red ink, would die a quick death. however, derivatives were not to be abondoned: they tad proven themselves to be too useful. End-users, having learned dealers in terms of education, disclosure, and support.
Ivanović, Zoran, Mujačević, Elvis
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many observers thought that derivatives, drowning in bad publicity and in red ink, would die a quick death. however, derivatives were not to be abondoned: they tad proven themselves to be too useful. End-users, having learned dealers in terms of education, disclosure, and support.
Ivanović, Zoran, Mujačević, Elvis
openaire +2 more sources
Financial Risk, Financial Intermediaries and Game Theory
2000Financial intermediaries exist and were already studied well before the second half of our twentieth century. Yet in the last fifty years many new and more precise insights on financial institutions have been derived exploiting results obtained by researchers of the scientific area defined (more or less precisely) as modern-quantitative finance.
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Navigating financial toxicity in patients with cancer: A multidisciplinary management approach
Ca-A Cancer Journal for Clinicians, 2022Grace Li Smith +2 more
exaly
Time to add screening for financial hardship as a quality measure?
Ca-A Cancer Journal for Clinicians, 2021Cathy J Bradley +2 more
exaly
Sovereign Risk and Financial Risk [PDF]
This paper examines the evidence on the relationship between sovereign bond spreads, economic activity, and global financial risk. Using an extensive data set of prices of outstanding sovereign bonds trading in the secondary market, we construct a comprehensive country index for sovereign bond spread dataset.
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