Results 21 to 30 of about 80,406 (115)

Financial Risk Management in 2020's Recession: Evidence from ASEAN Countries

open access: yesPetra International Journal of Business Studies, 2022
This study aims to determine the effect of bank financial risk consisting of liquidity risk, credit risk, and other factors on bank stability. This study took samples from 41 open conventional banks in five ASEAN countries that experienced crises, namely
Andreas Krisvian, R. Rokhim
semanticscholar   +1 more source

Assessing the Impact of Risk Management Structure on Financial Firm Performance: Evidence from Nigerian Services Sector Listed Firms

open access: yesWseas Transactions on Business and Economics, 2022
With the advancement in the global economy, corporate risk management has been more impactfully implemented by firms and equally become a topic of scholarly studies. However, most of these studies are from different contexts. The purpose of this study is
Martins Mustapha Abu, A. Ibrahim
semanticscholar   +1 more source

The Effect of Enterprise Risk Management, Good Corporate Governance, Corporate Social Responsibility on Profitability and Firm Value

open access: yesInternational journal of economics, business and management research, 2022
The obyective of this study to examine the effect of Enterprise Risk Management (ERM), Good Corporate Governance (GCG), and Corporate Social Responsibility (CSR) on profitability and firm value.
Rikza Fahrunisa, Sutrisno
semanticscholar   +1 more source

Chinese Enterprise Risk Management??q??qBased on the Application of Financial Derivatives

open access: yes, 2018
In the 21st century, global derivative financial products have been greatly developed. Both transaction scale and derivative financial product innovation have reached a relatively prosperous era.
Cheng-yong Liu, Cheng Chen
semanticscholar   +1 more source

TECHNOLOGY QUALITY MANAGEMENT OF THE INDUSTRY 4.0 AND CYBERSECURITY RISK MANAGEMENT ON CURRENT BANKING ACTIVITIES IN EMERGING MARKETS - THE CASE IN VIETNAM

open access: yesInternational Journal for Quality Research, 2021
Industry 4.0 and digital technology has been affecting banking activities in most of bank system in emerging markets, esp. in Vietnam, one of the countries having high economic growth in ASEAN nations;so, quality management of technology issues and cyber
N. Thach   +6 more
semanticscholar   +1 more source

The Influence of Enterprise Risk Management, Leverage, Firm Size and Profitability on Firm Value in Property and Real Estate Companies Listed on the Indonesian Stock Exchange in 2016-2018

open access: yesKnE Social Sciences, 2021
The objective of this study was to analyze the effects of enterprise risk management (ERM) disclosure, leverage, firm size and profitability on firm value, which is proxied by Tobin’s Q. High corporate value can reflect the shareholders’ wealth.
Dihin Septyanto, Ikhwan Maulid Nugraha
semanticscholar   +1 more source

Attitudes of administrative decision-makers towards nature-based solutions for flood risk management in Germany

open access: yesSustainability Science, 2021
Over the last two decades, alternative and holistic concepts, such as Nature-based Solutions (NbS) were introduced and adopted by policy-makers, including to the field of flood protection, thereby causing a paradigm shift towards flood risk management ...
Leopold Tafel   +4 more
semanticscholar   +1 more source

Corporate governance, risk management and financial performance of listed deposit money bank in Nigeria

open access: yesCogent Business & Management, 2021
This study examined corporate governance, risk control in deposit money banks and how operational problems within commercial banks and information on them in Nigeria has been hoarded to a great extent. The result shows a negative but a significant impact
Abiola Kafidipe   +3 more
semanticscholar   +1 more source

Parameterization, Analysis, and Risk Management in a Comprehensive Management System with Emphasis on Energy and Performance (ISO 50001: 2018)

open access: yesEnergies, 2020
The future of business development relies on the effective management of risks, opportunities, and energy and water resources. Here, we evaluate the application of best practices to identify, analyze, address, monitor, and control risks and opportunities
P. P. Poveda-Orjuela   +3 more
semanticscholar   +1 more source

The Effectiveness of The Board of Directors' Performance and The Moderation Effect of Corporate Risk Management on The Company's Financial Performance

open access: yesGlobal Financial Accounting Journal
Purpose – This study aims to analyze the relationship between variables of the Board of Directors (BOD) effectiveness, specifically board size, board independence, and gender with the financial performance of companies measured through Tobin’s Q.
Dea Tiara Monalisa Butar-butar   +1 more
semanticscholar   +1 more source

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