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Managing systemic risk in The Netherlands

International Review of Economics & Finance, 2015
The paper investigates the effects on systemic risk of macroprudential capital requirements, which require banks to hold capital that is proportional to their contribution to systemic risk. We use a panel of correlated Merton balance sheet models combined with a network clearing algorithm, to measure systemic risk and how it changes with bank capital ...
Tham, WW, Sojli, Elvira, Liao, S
openaire   +1 more source

Systemic Risk and Security Management

2011
The aim of this paper is to develop a decision-theoretic approach to security management of uncertain multi-agent systems. Security is defined as the ability to deal with intentional and unintentional threats generated by agents. The main concern of the paper is the protection of public goods from these threats allowing explicit treatment of inherent ...
Ermoliev, Y., von Winterfeldt, D.
openaire   +3 more sources

Models for risk management of systems of systems

International Journal of System of Systems Engineering, 2008
This paper addresses the need for developing a body of prescriptive theory and methodology for modelling Systems of Systems (SoS). This will enable analysts to appropriately model and understand the SoS evolving behaviour due to the continued forced changes imposed on them.
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A system approach to management of catastrophic risks

European Journal of Operational Research, 2000
zbMATH Open Web Interface contents unavailable due to conflicting licenses.
Yuri M. Ermoliev   +4 more
openaire   +4 more sources

Managing risks in enterprise systems implementations

Communications of the ACM, 2002
What determines if a system implementation will be successful?
Scott, Judy E., Vessey, Iris
openaire   +3 more sources

Risk management in payment system architectures

2016 11th International Conference for Internet Technology and Secured Transactions (ICITST), 2016
Payments architectures are on the verge of a great bifurcation that must be documented in order to be debated. One one hand, actors like Google and Apple are moving towards becoming quasi-banks while they disseminate payment systems over smartphones.
Sivakumar, Niranjan   +2 more
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Warning Systems in Risk Management

Risk Analysis, 1986
A method is presented here that allows probabilistic evaluation and optimization of warning systems, and comparison of their performance and cost‐effectiveness with those of other means of risk management. The model includes an assessment (1) of the signals, and (2) of human response, given the memory that people have kept of the quality of previous ...
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Risk management for information systems development

Journal of Information Technology, 1996
This paper considers the application of project risk management techniques, methods and approaches to information systems development. The paper reviews current thinking on risk as it relates to information systems, and the approaches to risk that have been adopted in IS projects.
Powell, P.L., Klein, J.H.
openaire   +1 more source

Risk management as a financial risk management system for an enterprise

Экономика и предпринимательство, 2021
В статье отмечена важность системы управления финансовыми рисками, перечислены основные этапы управления ими, а также раскрыто содержание каждого из них с точки зрения системного подхода. Определена сущность управления рисками и перечислены определены основные типы финансовых рисков.
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