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Trends and prospects of tax reforms in China JOURNAL ARTICLE published 2015 in Risk Governance and Control: Financial Markets and Institutions |
Stress test for risk assessment under Basel framework applied in banking industry JOURNAL ARTICLE published 2014 in Risk Governance and Control: Financial Markets and Institutions |
Factors affecting bank governance in Malaysia JOURNAL ARTICLE published 2012 in Risk Governance and Control: Financial Markets and Institutions |
Establishment of audit committees in government ministries of a developing country JOURNAL ARTICLE published 2016 in Risk Governance and Control: Financial Markets and Institutions |
Factors affecting price to earnings ratio (P/E): Evidence from the emerging market JOURNAL ARTICLE published 2019 in Risk Governance and Control: Financial Markets and Institutions |
Does goodwill improve firm performance? Evidence from the MENA region JOURNAL ARTICLE published 2017 in Risk Governance and Control: Financial Markets and Institutions |
Chasing the deal with the money: Measuring the required risk premium and expected abnormal returns of private equity funds to maximize their internal rate of return JOURNAL ARTICLE published 2013 in Risk Governance and Control: Financial Markets and Institutions |
Political risk factors in South Africa: Sources, analysis and insurance flexibility JOURNAL ARTICLE published 2013 in Risk Governance and Control: Financial Markets and Institutions |
Governing ‘too big to fail’ banks JOURNAL ARTICLE published 2011 in Risk Governance and Control: Financial Markets and Institutions |
Risks connected to the work force at the small, medium and micro enterprises JOURNAL ARTICLE published 2016 in Risk Governance and Control: Financial Markets and Institutions |
Consumer perceptions of banking services: Factors for bank’s preference JOURNAL ARTICLE published 2016 in Risk Governance and Control: Financial Markets and Institutions |
Perceptions and factors influencing the willingness to pay for micro cyber-risk insurance: A logistic regression approach JOURNAL ARTICLE published 2023 in Risk Governance and Control: Financial Markets and Institutions Research funded by Fundação para a Ciência e a Tecnologia (UIDB/04521/2020) |
Microinsurance: A PRISMA-compliant systematic review of its regulatory-, subsidy-, demand- and supply-side determinants JOURNAL ARTICLE published 2023 in Risk Governance and Control: Financial Markets and Institutions Research funded by Fundação para a Ciência e a Tecnologia (UIDB/04521/2020) |
Appraisal of the adequacy of the application of customer-driven marketing strategies to the Nigeria National Housing Fund scheme JOURNAL ARTICLE published 2015 in Risk Governance and Control: Financial Markets and Institutions |
Concentration risk: Setting credit limits in loan portfolios, case of Morocco JOURNAL ARTICLE published 2016 in Risk Governance and Control: Financial Markets and Institutions |
Assessing organisational governance maturity: A retail industry case study JOURNAL ARTICLE published 2016 in Risk Governance and Control: Financial Markets and Institutions |
The impact of the intellectual capital components on firm’s performance in emerging markets JOURNAL ARTICLE published 2021 in Risk Governance and Control: Financial Markets and Institutions |
The impact of ECB loan valuation metrics on third-party loan pricing: A EU firm perspective JOURNAL ARTICLE published 2020 in Risk Governance and Control: Financial Markets and Institutions |
Does human capital development matter in FDI location decisions? A case for Austria JOURNAL ARTICLE published 2015 in Risk Governance and Control: Financial Markets and Institutions |
Corporate contestability and corporate expropriation JOURNAL ARTICLE published 2016 in Risk Governance and Control: Financial Markets and Institutions |