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Climate risk disclosure and climate risk management in UK asset managers [PDF]

open access: yesInternational Journal of Climate Change Strategies and Management, 2022
Purpose – Framed within global policy debates over the need for private financial flows to align with the capital requirements of the Paris Agreement, this paper examines UK asset managers in their approaches to disclosing and managing climate risk. This
Noelle Greenwood, Peter Warren
doaj   +1 more source

Exploring the dynamic connectedness between commodities and African equities

open access: yesCogent Economics & Finance, 2023
Market participants, regulators, and practitioners might have disregarded the prospective integration of African markets and the integration of commodity markets with traditional markets.
Samuel Kwaku Agyei, Ahmed Bossman
doaj   +1 more source

Real Estate Investment Trusts’ (REITs) Asset Management Strategies Within Global REIT Portfolios

open access: yesReal Estate Management and Valuation, 2021
Investment in REITs has become significant in recent years due to the stability and sustainable performance of the investment. A study on the management perspective is very important but this perspective is very limited. Asset management will derive from
Adnan Yasmin Mohd.   +4 more
doaj   +1 more source

Maturity of knowledge management evaluation in organizational units using Data Envelopment Analysis [PDF]

open access: yesمدیریت نوآوری و راهبردهای عملیاتی, 2020
Purpose: The global economy has shifted from being resource-based to knowledge-based. Leading organizations create more value-added and long-term competitive advantage by managing their intellectual assets more than ever.
Nazila Adabavazeh, Mehrzad Navabakhsh
doaj   +1 more source

Understanding the Strategies of Mining Giants by Modern Portfolio Theory

open access: yesJournal of MMIJ, 2017
Mineral prices hit their ceilings and started fluctuating. It forced resource-related companies to reassess their assets. In order to secure the stable supply of resources, it is important for Japan, which is a resource-importing country, to keep an eye ...
Kazuharu SASAKI, Shinsuke MURAKAMI
doaj   +1 more source

Platform landlords: Renters, personal data and new digital footholds of urban control

open access: yesDigital Geography and Society, 2023
Under digital capitalism, the interests of landed property and digital platforms are converging. This article explores this dynamic in rental homes operated by corporate landlords by querying how private equity, pension funds and other institutional ...
Megan Nethercote
doaj   +1 more source

Management’s Discretionary Assessments of Goodwill Impairments—Evidence from STOXX Europe 600

open access: yesInternational Journal of Financial Studies, 2023
The main issues of accounting reporting regarding goodwill are whether a firm’s management reliably conveys their private information about future earnings, and whether they disclose value-relevant and useful information to accounting users.
Frode Kjærland   +3 more
doaj   +1 more source

The Relationship Between Corporate Social Responsibility And Corporate Financial Performance – Evidence From Empirical Studies

open access: yesComparative Economic Research, 2016
Socially responsible investment (SRI) has experienced strong growth in recent years. In 2012, $1 out of every $9 US assets under professional management was invested in some form of sustainable investment.
Magdalena Mikołajek-Gocejna
doaj   +1 more source

THE USE OF POTENTIAL OF HEDGE FUNDS FOR UKRAINIAN INVESTORS [PDF]

open access: yesAkademičnij Oglâd, 2021
Studies show that the world of finance is not standing still; new methods and tools of attracting and using financial capital are constantly appearing.
Iryna S. Shkura   +2 more
doaj   +1 more source

Portfolio Selection Models Based on Interval-Valued Conditional Value-at-Risk (ICVaR) and Case Study on the Data from Stock Markets

open access: yesFractal and Fractional, 2022
Risk management is very important for individual investors or companies. There are several ways to measure the risk of investment. Prices of risky assets vary rapidly and randomly due to the complexity of finance market. Random interval is a good tool to
Jinping Zhang, Keming Zhang
doaj   +1 more source

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