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Climate-related financial risks as a governance challenge: An inclusive international public policy proposal JOURNAL ARTICLE published 2021 in Risk Governance and Control: Financial Markets and Institutions |
Distress classification measures in the banking sector JOURNAL ARTICLE published 2011 in Risk Governance and Control: Financial Markets and Institutions |
Life insurance, financial development and economic growth in South Africa JOURNAL ARTICLE published 2014 in Risk Governance and Control: Financial Markets and Institutions |
Management accounting techniques and corporate performance of manufacturing industries JOURNAL ARTICLE published 2017 in Risk Governance and Control: Financial Markets and Institutions |
RegTech: Analysis of the aggregators in the Swiss startups’ ecosystem during the pandemic JOURNAL ARTICLE published 2023 in Risk Governance and Control: Financial Markets and Institutions |
Modeling of the influence of transparency of the derivatives market on financial depth JOURNAL ARTICLE published 2016 in Risk Governance and Control: Financial Markets and Institutions |
Book review: “Innovation in financial restructuring: Focus on signals, processes and tools” JOURNAL ARTICLE published 2021 in Risk Governance and Control: Financial Markets and Institutions |
A talmudic perspective of the Zimbabwean banking crisis of 2004/2005 JOURNAL ARTICLE published 2015 in Risk Governance and Control: Financial Markets and Institutions |
Management through decentralisation and local economic development: A condition for sustainable urbanisation in Africa JOURNAL ARTICLE published 2017 in Risk Governance and Control: Financial Markets and Institutions |
Evaluating the investment decision-making process for business expansion into Africa: A case study JOURNAL ARTICLE published 2012 in Risk Governance and Control: Financial Markets and Institutions |
Overview of salient economic features of the modes of freight transport for use in the formulation of national transport policy in South Africa JOURNAL ARTICLE published 2012 in Risk Governance and Control: Financial Markets and Institutions |
On the optimal design of risk retention in securitisation JOURNAL ARTICLE published 2011 in Risk Governance and Control: Financial Markets and Institutions |
Carbon Risk Analysis Of The South African Banks’ Lending To The JSE100 CDP Companies JOURNAL ARTICLE published 2015 in Risk Governance and Control: Financial Markets and Institutions |
Development in sustainability reporting: Early evidence on core indicators JOURNAL ARTICLE published 2023 in Risk Governance and Control: Financial Markets and Institutions |
Navigating the financial crisis in Helvetic Waters: An analysis of the banking sector (2007-09) JOURNAL ARTICLE published 2011 in Risk Governance and Control: Financial Markets and Institutions |
Firm returns and network centrality JOURNAL ARTICLE published 2019 in Risk Governance and Control: Financial Markets and Institutions |
Residential mortgage crisis - an Islamic finance perspective JOURNAL ARTICLE published 2014 in Risk Governance and Control: Financial Markets and Institutions |
Corporate governance and firm performance: Evidence from an emerging market JOURNAL ARTICLE published 2019 in Risk Governance and Control: Financial Markets and Institutions |
Determinants of leasing business in emerging country JOURNAL ARTICLE published 2017 in Risk Governance and Control: Financial Markets and Institutions |
Editorial: COVID-19: The unexpected and disruptive event that will radically shake up and change the world as we know it JOURNAL ARTICLE published 2020 in Risk Governance and Control: Financial Markets and Institutions |