Results 41 to 50 of about 805 (180)

Uncovering Multidimensional Determinants of Household Extreme Poverty in Southwest Papua, Indonesia

open access: yesPoverty &Public Policy, Volume 17, Issue 4, December 2025.
ABSTRACT This study examines the multidimensional determinants of extreme poverty among households in Southwest Papua, Indonesia, with the aim of identifying critical factors at the household level. The Study utilizes quantitative methods an analytical‐descriptive research design, including using logistic regression analysis on data from the 2023 ...
Sitti Aminah   +9 more
wiley   +1 more source

Mercados financieros: Evolución y Riesgo

open access: yes, 2021
El trabajo consiste en describir la evolución sufrida o experimentada por los mercados financieros a lo largo de los años. Así como analizar los diferentes tipos de riesgos que nos podemos encontrar en ellos y, mediante R-Commander, analizar la rentabilidad-volatilidad mediante modelos que nos acerquen a lo que es la realidad y sirva para tomar ...
Pardo Jiménez, Miguel   +2 more
openaire   +1 more source

Policy Effectiveness in Managing Drug Shortages: Evidence From South Korea (2015–2024)

open access: yesWorld Medical &Health Policy, Volume 17, Issue 3, Page 561-572, September 2025.
ABSTRACT Drug shortages represent a growing policy challenge for healthcare systems worldwide. This study investigates actual drug shortage events in South Korea from 2015 to 2024, using a “Shortage Occurred vs. Shortage Non‐Occurred” framework to distinguish real‐world disruptions from administrative classifications.
Seung‐Rae Yu
wiley   +1 more source

Estimación del riesgo de crédito en empresas del sector real en Colombia

open access: yesEstudios Gerenciales, 2012
La presente investigación propone un modelo probit para datos de panel desbalanceado con efectos aleatorios, que permita estimar la probabilidad de quiebra de las empresas del sector real en Colombia e inferir el riesgo de crédito.
CLAUDIA SEPÚLVEDA RIVILLAS   +2 more
doaj   +3 more sources

ANÁLISIS DISCRIMINANTE APLICADO A MODELOS DE PREDICCIÓN DE QUIEBRA

open access: yesQuipukamayoc, 2014
Las empresas interactúan cada vez más con clientes yproveedores. Esta situación hace necesaria una adecuadagestión del riesgo para prevenir situaciones deinsolvencia financiera.
Janet Cecibel Aldazábal Contreras   +1 more
doaj   +1 more source

Explaining regulatory change in the European Union: The role of the financial crisis in ratcheting up of risk regulation 解析欧盟的监管变革:金融危机在逐步加强风险监管一事中的作用 Explicando el cambio regulatorio en la Unión Europea: el papel de la crisis financiera en el aumento de la regulación del riesgo

open access: yesRisk, Hazards &Crisis in Public Policy, Volume 16, Issue 1, March 2025.
Abstract The European Union was hit by the financial crisis of 2008. The impact of this crisis, however, and the extent to which this has led to strengthening environmental, health and safety risk regulation in the EU remain open to debate. This article advances the discussion of the “ratcheting‐up” hypothesis by adding a new explanatory factor, namely
Ronit Justo‐Hanani
wiley   +1 more source

How can Big Data contribute to improve the financial performance of companies?

open access: yesRevista Mexicana de Economía y Finanzas Nueva Época REMEF, 2020
Objetivo: Proponemos una metodología integral que combina un conjunto de herramientas del análisis de Big Data (BDA) con el análisis prospectivo, análisis de riesgo y análisis estratégico con la finalidad de mejorar el desempeño financiero de la empresa ...
Cinzia Delfino Barilla   +1 more
doaj   +1 more source

Climate adaptation in multi‐level governance systems: Security, risk, or normal politics? 多层次治理系统中的气候适应:安全、风险、还是正常政治? Adaptación climática en sistemas de gobernanza multinivel: ¿seguridad, riesgo o política normal?

open access: yesRisk, Hazards &Crisis in Public Policy, Volume 15, Issue 4, Page 441-467, December 2024.
Abstract Using a securitization lens, this article explores the climate adaptation discourse and its impact on the making and implementation of adaptation strategies in Sweden. The main goal is to discern whether climate change is understood and addressed as a security issue within Swedish climate adaptation policy, examining its practical implications
Karina Barquet   +2 more
wiley   +1 more source

La importancia de la administración del riesgo operativo en las entidades crediticias.

open access: yesUniversidad y Empresa, 2010
La estabilidad de los sectores financieros es de vital importancia para el crecimiento económico de los países. La confianza que brindan a los ahorradores permite canalizar recursos del ahorro a la inversión.
Gisele Becerra   +2 more
doaj  

Banker, pastor, teef: Christian financial elites and vernaculars of accountability in Ghana

open access: yesAmerican Anthropologist, Volume 126, Issue 3, Page 408-421, September 2024.
Abstract When nine Ghanaian banks collapsed during the country's 2017–2019 financial crisis, a Charismatic Pentecostal pastor was at the center of public accusations as the board chairman of one of the failed banks. His role put a spotlight on the growing influence of Charismatic Pentecostal institutions and elites in Ghana's financial market. Shifting
Anna‐Riikka Kauppinen, Girish Daswani
wiley   +1 more source

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