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FINANCIAL RISK MANAGEMENT

INTERNATIONAL JOURNAL OF SCIENTIFIC RESEARCH, 2022
This paper analyses nancial risk management at the Ministry of Defense of the Slovak Republic. In its rst part, the author denes the basic terms related to risk management, explains the negative consequences of risks and points to the importance of nancial risk management.
V. sivakuamr, Manjunathan K
openaire   +2 more sources

Financial Investment, Financial Risk and Risk Management

2018
This chapter introduces the background knowledge for risk management in finance and outlines the contents of Part I.
Chunhui Xu, Takayuki Shiina
openaire   +1 more source

Managing financial risk

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
openaire   +3 more sources

Financial Risk Management [PDF]

open access: possibleAnnals of Computational Economics, 2011
Concerns about the financial risk is increasing. In this climate, companies of all types and sizes want a robust framework for financial risk management to meet compliance requirements, contribute to better decision making and increase performance. Financial risk management professionals working with financial institutions and other corporate clients ...
Catalin-Florinel Stanescu   +1 more
openaire  

Financial Risk Management

2016
The present paper intends to serve as an introduction into the financial risk management universe. It starts with the basic assumption that performance of an organization is inseparable from the risks it is facing. Any organization should have in place the necessary tools to identify, assess and constantly measure the risks it is exposed to.
Mirela-Madalina Stoian   +1 more
openaire   +1 more source

Managing Financial Risks

1975
Economic Responses to Market Risks in Agriculture, November 13-14, 1975, St.
Robinson, Howard, Robinson, Howard
openaire   +1 more source

Managing Financial Risks

2009
Abstract Recent market turmoil, bank runs, global equities sell-off, and the ‘credit crunch’ have demonstrated the sophisticated and interconnected nature of financial markets today — seemingly localized problems have quickly spread, putting at risk the solvency of both local and global financial institutions.
openaire   +3 more sources

Managing financial risk

Journal of Corporate Accounting & Finance, 2012
AbstractA company's risk profile determines the scope of its annual audit. The greater the risks, the more audit testing is required. Auditors are looking for those risk factors that may cause the financial statements to be misstated. But the reality is that auditors are concerned with all kinds of risks that can impact a client company—because the ...
openaire   +1 more source

Navigating financial toxicity in patients with cancer: A multidisciplinary management approach

Ca-A Cancer Journal for Clinicians, 2022
Maria Pisu   +2 more
exaly  

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