Results 21 to 30 of about 5,554 (110)
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
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
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
The Probability Conflation: A Reply
We respond to Tetlock et al. (2022) showing 1) how expert judgment fails to reflect tail risk, 2) the lack of compatibility between forecasting tournaments and tail risk assessment methods (such as extreme value theory).
Carreira, Marcos +3 more
core
Climate change-induced sea level rise has exacerbated coastal change putting millions of people at risk from coastal hazards, such as flooding and coastal erosion.
Elina Apine, T. Stojanovic
semanticscholar +1 more source
Divergence Based Quadrangle and Applications
This paper introduces a novel framework for assessing risk and decision-making in the presence of uncertainty, the \emph{$\varphi$-Divergence Quadrangle}.
Gupte, Siddhartha +3 more
core
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
In the field of quantitative finance, volatility models, such as ARCH, GARCH, FIGARCH, SV, EWMA, play the key role in risk and portfolio management. Meanwhile, factor investing is more and more famous since mid of 20 century.
Zhang, Ke
core
Board attributes, risk management and financial performance: Insights from Iraq
Purpose: This study examines how good corporate governance practices and the establishment of risk management committees reduce investors’ risks and improve performance.
A. Abubakar +3 more
semanticscholar +1 more source
An Empirical Analysis of Enterprise Risk Management and Firm's Value: Evidence from Pakistan
Since the last few decades, the firms have shifted their focus towards risk management from traditional risk management practices to enterprise risk management.
Wajid Khan, M. Asif, Syed Qasim Shah
semanticscholar +1 more source

