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You searched for subject:(Financial risks). Showing records 1 – 30 of 124 total matches.

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Addis Ababa University

1. Eneyew, Lake. Financial Risks and Profitability of Commercial Banks in Ethiopia .

Degree: 2013, Addis Ababa University

 Commercial banks assume various kinds of financial risks which are related to the financial operation of a business and arise due to the uncertainty in… (more)

Subjects/Keywords: Financial Risks; Profitablity

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APA (6th Edition):

Eneyew, L. (2013). Financial Risks and Profitability of Commercial Banks in Ethiopia . (Thesis). Addis Ababa University. Retrieved from http://etd.aau.edu.et/dspace/handle/123456789/5396

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Eneyew, Lake. “Financial Risks and Profitability of Commercial Banks in Ethiopia .” 2013. Thesis, Addis Ababa University. Accessed October 15, 2019. http://etd.aau.edu.et/dspace/handle/123456789/5396.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Eneyew, Lake. “Financial Risks and Profitability of Commercial Banks in Ethiopia .” 2013. Web. 15 Oct 2019.

Vancouver:

Eneyew L. Financial Risks and Profitability of Commercial Banks in Ethiopia . [Internet] [Thesis]. Addis Ababa University; 2013. [cited 2019 Oct 15]. Available from: http://etd.aau.edu.et/dspace/handle/123456789/5396.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Eneyew L. Financial Risks and Profitability of Commercial Banks in Ethiopia . [Thesis]. Addis Ababa University; 2013. Available from: http://etd.aau.edu.et/dspace/handle/123456789/5396

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

2. Tiitinen, Pekka. Financial- and business risks analysis of Oy Korpilampi Ab .

Degree: 2017, Theseus

 This paper presents the project of developing a financial and business risk analysis report for Oy Korpilampi Ab. The goal is to identify the major… (more)

Subjects/Keywords: risk management; financial risks; risk analysis; business risks

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APA (6th Edition):

Tiitinen, P. (2017). Financial- and business risks analysis of Oy Korpilampi Ab . (Thesis). Theseus. Retrieved from http://www.theseus.fi/handle/10024/130744

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Tiitinen, Pekka. “Financial- and business risks analysis of Oy Korpilampi Ab .” 2017. Thesis, Theseus. Accessed October 15, 2019. http://www.theseus.fi/handle/10024/130744.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Tiitinen, Pekka. “Financial- and business risks analysis of Oy Korpilampi Ab .” 2017. Web. 15 Oct 2019.

Vancouver:

Tiitinen P. Financial- and business risks analysis of Oy Korpilampi Ab . [Internet] [Thesis]. Theseus; 2017. [cited 2019 Oct 15]. Available from: http://www.theseus.fi/handle/10024/130744.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Tiitinen P. Financial- and business risks analysis of Oy Korpilampi Ab . [Thesis]. Theseus; 2017. Available from: http://www.theseus.fi/handle/10024/130744

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Nairobi

3. Mbogo, Wanjiru E. The effect of financial risks on the return on investments for deposit taking Saccos in Kenya .

Degree: 2016, University of Nairobi

 The Sacco Societies Regulatory Authority (SASRA) which is a statutory state corporation established under the Sacco Societies Act (Cap 490B) of the Kenyan law was… (more)

Subjects/Keywords: Financial risks on the return on Investments

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APA (6th Edition):

Mbogo, W. E. (2016). The effect of financial risks on the return on investments for deposit taking Saccos in Kenya . (Thesis). University of Nairobi. Retrieved from http://hdl.handle.net/11295/99677

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Mbogo, Wanjiru E. “The effect of financial risks on the return on investments for deposit taking Saccos in Kenya .” 2016. Thesis, University of Nairobi. Accessed October 15, 2019. http://hdl.handle.net/11295/99677.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Mbogo, Wanjiru E. “The effect of financial risks on the return on investments for deposit taking Saccos in Kenya .” 2016. Web. 15 Oct 2019.

Vancouver:

Mbogo WE. The effect of financial risks on the return on investments for deposit taking Saccos in Kenya . [Internet] [Thesis]. University of Nairobi; 2016. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/11295/99677.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Mbogo WE. The effect of financial risks on the return on investments for deposit taking Saccos in Kenya . [Thesis]. University of Nairobi; 2016. Available from: http://hdl.handle.net/11295/99677

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

4. Cavadas, Joana Santos. Os riscos associados a um processo de auditoria financeira.

Degree: 2016, Instituto Politécnico do Porto

Num cenário marcado pela instabilidade e globalização da economia, as entidades encontram-se, cada vez mais, expostas a uma grande diversidade de riscos que colocam em… (more)

Subjects/Keywords: Auditoria; Financeira; Demonstrações financeiras; Distorções materiais riscos; Financial audit,; Material misstatements,; Financial statements; Risks; Auditoria

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APA (6th Edition):

Cavadas, J. S. (2016). Os riscos associados a um processo de auditoria financeira. (Thesis). Instituto Politécnico do Porto. Retrieved from http://www.rcaap.pt/detail.jsp?id=oai:recipp.ipp.pt:10400.22/9620

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Cavadas, Joana Santos. “Os riscos associados a um processo de auditoria financeira.” 2016. Thesis, Instituto Politécnico do Porto. Accessed October 15, 2019. http://www.rcaap.pt/detail.jsp?id=oai:recipp.ipp.pt:10400.22/9620.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Cavadas, Joana Santos. “Os riscos associados a um processo de auditoria financeira.” 2016. Web. 15 Oct 2019.

Vancouver:

Cavadas JS. Os riscos associados a um processo de auditoria financeira. [Internet] [Thesis]. Instituto Politécnico do Porto; 2016. [cited 2019 Oct 15]. Available from: http://www.rcaap.pt/detail.jsp?id=oai:recipp.ipp.pt:10400.22/9620.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Cavadas JS. Os riscos associados a um processo de auditoria financeira. [Thesis]. Instituto Politécnico do Porto; 2016. Available from: http://www.rcaap.pt/detail.jsp?id=oai:recipp.ipp.pt:10400.22/9620

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Nairobi

5. Wanjiku, Kennedy, N. Effect of Financial Risks on Institutional Efficiency Among Companies Listed in the Nairobi Securities Exchange .

Degree: 2016, University of Nairobi

 The growth and development of the financial institutions are dependent on the effective and efficient management of its risks and opportunities. The search for precise… (more)

Subjects/Keywords: Effect of Financial Risks on Institutional Efficiency Among Companies

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APA (6th Edition):

Wanjiku, Kennedy, N. (2016). Effect of Financial Risks on Institutional Efficiency Among Companies Listed in the Nairobi Securities Exchange . (Thesis). University of Nairobi. Retrieved from http://hdl.handle.net/11295/98907

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Wanjiku, Kennedy, N. “Effect of Financial Risks on Institutional Efficiency Among Companies Listed in the Nairobi Securities Exchange .” 2016. Thesis, University of Nairobi. Accessed October 15, 2019. http://hdl.handle.net/11295/98907.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Wanjiku, Kennedy, N. “Effect of Financial Risks on Institutional Efficiency Among Companies Listed in the Nairobi Securities Exchange .” 2016. Web. 15 Oct 2019.

Vancouver:

Wanjiku, Kennedy N. Effect of Financial Risks on Institutional Efficiency Among Companies Listed in the Nairobi Securities Exchange . [Internet] [Thesis]. University of Nairobi; 2016. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/11295/98907.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Wanjiku, Kennedy N. Effect of Financial Risks on Institutional Efficiency Among Companies Listed in the Nairobi Securities Exchange . [Thesis]. University of Nairobi; 2016. Available from: http://hdl.handle.net/11295/98907

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Universidade Nova

6. Tarasiuc, Oxana. The implementation of the european central bank project,target2 securities, in the european settlement system.

Degree: 2018, Universidade Nova

 Post-trade market in the European Union continues to be fragmented at the national level, despite the various legislative initiatives, as UCITS 5, CSDR, that brings… (more)

Subjects/Keywords: T2S; securities; post-trade; Eurosystem; ECB; financial integration; settlement; clearing; risks

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APA (6th Edition):

Tarasiuc, O. (2018). The implementation of the european central bank project,target2 securities, in the european settlement system. (Thesis). Universidade Nova. Retrieved from https://www.rcaap.pt/detail.jsp?id=oai:run.unl.pt:10362/48101

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Tarasiuc, Oxana. “The implementation of the european central bank project,target2 securities, in the european settlement system.” 2018. Thesis, Universidade Nova. Accessed October 15, 2019. https://www.rcaap.pt/detail.jsp?id=oai:run.unl.pt:10362/48101.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Tarasiuc, Oxana. “The implementation of the european central bank project,target2 securities, in the european settlement system.” 2018. Web. 15 Oct 2019.

Vancouver:

Tarasiuc O. The implementation of the european central bank project,target2 securities, in the european settlement system. [Internet] [Thesis]. Universidade Nova; 2018. [cited 2019 Oct 15]. Available from: https://www.rcaap.pt/detail.jsp?id=oai:run.unl.pt:10362/48101.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Tarasiuc O. The implementation of the european central bank project,target2 securities, in the european settlement system. [Thesis]. Universidade Nova; 2018. Available from: https://www.rcaap.pt/detail.jsp?id=oai:run.unl.pt:10362/48101

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


California State University – Sacramento

7. Sollfelner, Bernd Hannes. How various macroeconomic and financial risks influence corporate strategic decisions in the global airline industry.

Degree: M.B.A., Finance, 2016, California State University – Sacramento

 This paper reflects about global and regional macroeconomic conditions represented through Gross Domestic Product (GDP) growth rates, foreign exchange rates, interest rates and commodity price… (more)

Subjects/Keywords: Macroeconomic financial risks; Global airlines; Corporate strategic decisions

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APA (6th Edition):

Sollfelner, B. H. (2016). How various macroeconomic and financial risks influence corporate strategic decisions in the global airline industry. (Masters Thesis). California State University – Sacramento. Retrieved from http://hdl.handle.net/10211.3/182672

Chicago Manual of Style (16th Edition):

Sollfelner, Bernd Hannes. “How various macroeconomic and financial risks influence corporate strategic decisions in the global airline industry.” 2016. Masters Thesis, California State University – Sacramento. Accessed October 15, 2019. http://hdl.handle.net/10211.3/182672.

MLA Handbook (7th Edition):

Sollfelner, Bernd Hannes. “How various macroeconomic and financial risks influence corporate strategic decisions in the global airline industry.” 2016. Web. 15 Oct 2019.

Vancouver:

Sollfelner BH. How various macroeconomic and financial risks influence corporate strategic decisions in the global airline industry. [Internet] [Masters thesis]. California State University – Sacramento; 2016. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/10211.3/182672.

Council of Science Editors:

Sollfelner BH. How various macroeconomic and financial risks influence corporate strategic decisions in the global airline industry. [Masters Thesis]. California State University – Sacramento; 2016. Available from: http://hdl.handle.net/10211.3/182672


Brno University of Technology

8. Knotek, Jiří. Posouzení rizik chráněného bydlení .

Degree: 2018, Brno University of Technology

 Záměrem diplomové práce je analyzovat rizika chráněného bydlení společnosti Senior Sen s.r.o., které poskytuje sociální služby a nabízí řešení lidem v jejich nepříznivé sociální situaci.… (more)

Subjects/Keywords: analýza; sociální služby; chráněné bydlení; rizika; finanční rizika; bezpečnost; legislativa; analysis; social services; secured living; risks; financial risks; security; legislation

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APA (6th Edition):

Knotek, J. (2018). Posouzení rizik chráněného bydlení . (Thesis). Brno University of Technology. Retrieved from http://hdl.handle.net/11012/83782

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Knotek, Jiří. “Posouzení rizik chráněného bydlení .” 2018. Thesis, Brno University of Technology. Accessed October 15, 2019. http://hdl.handle.net/11012/83782.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Knotek, Jiří. “Posouzení rizik chráněného bydlení .” 2018. Web. 15 Oct 2019.

Vancouver:

Knotek J. Posouzení rizik chráněného bydlení . [Internet] [Thesis]. Brno University of Technology; 2018. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/11012/83782.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Knotek J. Posouzení rizik chráněného bydlení . [Thesis]. Brno University of Technology; 2018. Available from: http://hdl.handle.net/11012/83782

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of York

9. Flavin, Thomas J. Tactical asset allocation.

Degree: PhD, 1999, University of York

Subjects/Keywords: 332; Investment portfolio; Financial market risks

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APA (6th Edition):

Flavin, T. J. (1999). Tactical asset allocation. (Doctoral Dissertation). University of York. Retrieved from http://etheses.whiterose.ac.uk/2493/ ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.311010

Chicago Manual of Style (16th Edition):

Flavin, Thomas J. “Tactical asset allocation.” 1999. Doctoral Dissertation, University of York. Accessed October 15, 2019. http://etheses.whiterose.ac.uk/2493/ ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.311010.

MLA Handbook (7th Edition):

Flavin, Thomas J. “Tactical asset allocation.” 1999. Web. 15 Oct 2019.

Vancouver:

Flavin TJ. Tactical asset allocation. [Internet] [Doctoral dissertation]. University of York; 1999. [cited 2019 Oct 15]. Available from: http://etheses.whiterose.ac.uk/2493/ ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.311010.

Council of Science Editors:

Flavin TJ. Tactical asset allocation. [Doctoral Dissertation]. University of York; 1999. Available from: http://etheses.whiterose.ac.uk/2493/ ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.311010

10. Samizafy, Marius. Gestion de la dette publique et analyse des notions d'optimalité de soutenabilité et des risques financiers : cas des pays de la Commission de l'Océan Indien : Public debt management and analysis of optimality, sustainability and financial risk : the case of the member countries of the Indian Ocean Commission.

Degree: Docteur es, Sciences economiques, 2013, Nice

On propose d'analyser la gestion de la dette publique pour montrer que, si l’on tient compte des critères d’optimalité, la dette publique peut être un… (more)

Subjects/Keywords: Dette publique; Optimalité; Soutenabilité; Risques financiers; Public debt; Optimality; Sustainability; Financial risks

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APA (6th Edition):

Samizafy, M. (2013). Gestion de la dette publique et analyse des notions d'optimalité de soutenabilité et des risques financiers : cas des pays de la Commission de l'Océan Indien : Public debt management and analysis of optimality, sustainability and financial risk : the case of the member countries of the Indian Ocean Commission. (Doctoral Dissertation). Nice. Retrieved from http://www.theses.fr/2013NICE0050

Chicago Manual of Style (16th Edition):

Samizafy, Marius. “Gestion de la dette publique et analyse des notions d'optimalité de soutenabilité et des risques financiers : cas des pays de la Commission de l'Océan Indien : Public debt management and analysis of optimality, sustainability and financial risk : the case of the member countries of the Indian Ocean Commission.” 2013. Doctoral Dissertation, Nice. Accessed October 15, 2019. http://www.theses.fr/2013NICE0050.

MLA Handbook (7th Edition):

Samizafy, Marius. “Gestion de la dette publique et analyse des notions d'optimalité de soutenabilité et des risques financiers : cas des pays de la Commission de l'Océan Indien : Public debt management and analysis of optimality, sustainability and financial risk : the case of the member countries of the Indian Ocean Commission.” 2013. Web. 15 Oct 2019.

Vancouver:

Samizafy M. Gestion de la dette publique et analyse des notions d'optimalité de soutenabilité et des risques financiers : cas des pays de la Commission de l'Océan Indien : Public debt management and analysis of optimality, sustainability and financial risk : the case of the member countries of the Indian Ocean Commission. [Internet] [Doctoral dissertation]. Nice; 2013. [cited 2019 Oct 15]. Available from: http://www.theses.fr/2013NICE0050.

Council of Science Editors:

Samizafy M. Gestion de la dette publique et analyse des notions d'optimalité de soutenabilité et des risques financiers : cas des pays de la Commission de l'Océan Indien : Public debt management and analysis of optimality, sustainability and financial risk : the case of the member countries of the Indian Ocean Commission. [Doctoral Dissertation]. Nice; 2013. Available from: http://www.theses.fr/2013NICE0050


Open Universiteit Nederland

11. Scheijvens, R. Management control van risico's binnen verticale control relaties. Twee case studies van gemeentelijke samenwerkingsverbanden.

Degree: 2016, Open Universiteit Nederland

 Samenvatting en keywords eindscriptie. Roy Scheijvens Titel scriptie (NL): Management control van risico’s binnen verticale control relaties. Titel scriptie (EN): Management control of risks within… (more)

Subjects/Keywords: Management; Informal; Formal; Tightness; Focus; Relational; Financial; Performance; Relationships; Vertical; Risks; Control

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APA (6th Edition):

Scheijvens, R. (2016). Management control van risico's binnen verticale control relaties. Twee case studies van gemeentelijke samenwerkingsverbanden. (Masters Thesis). Open Universiteit Nederland. Retrieved from http://hdl.handle.net/1820/7676

Chicago Manual of Style (16th Edition):

Scheijvens, R. “Management control van risico's binnen verticale control relaties. Twee case studies van gemeentelijke samenwerkingsverbanden. ” 2016. Masters Thesis, Open Universiteit Nederland. Accessed October 15, 2019. http://hdl.handle.net/1820/7676.

MLA Handbook (7th Edition):

Scheijvens, R. “Management control van risico's binnen verticale control relaties. Twee case studies van gemeentelijke samenwerkingsverbanden. ” 2016. Web. 15 Oct 2019.

Vancouver:

Scheijvens R. Management control van risico's binnen verticale control relaties. Twee case studies van gemeentelijke samenwerkingsverbanden. [Internet] [Masters thesis]. Open Universiteit Nederland; 2016. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/1820/7676.

Council of Science Editors:

Scheijvens R. Management control van risico's binnen verticale control relaties. Twee case studies van gemeentelijke samenwerkingsverbanden. [Masters Thesis]. Open Universiteit Nederland; 2016. Available from: http://hdl.handle.net/1820/7676

12. Graaf, Anne van der. Managing financial risks : protecting the organisation : Gérer les risques financiers : protéger l'organisation.

Degree: Docteur es, Sociologie, 2018, Paris, Institut d'études politiques

Cette thèse porte sur la gestion des risques associés aux marchés financiers au sein des grandes organisations financières européennes. A partir d’un travail ethnographique approfondi… (more)

Subjects/Keywords: Risques des marchés financiers; Banques; Assurance; Organisations; Financial market risks; Banks; Insurance; Organisations; 332

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APA (6th Edition):

Graaf, A. v. d. (2018). Managing financial risks : protecting the organisation : Gérer les risques financiers : protéger l'organisation. (Doctoral Dissertation). Paris, Institut d'études politiques. Retrieved from http://www.theses.fr/2018IEPP0020

Chicago Manual of Style (16th Edition):

Graaf, Anne van der. “Managing financial risks : protecting the organisation : Gérer les risques financiers : protéger l'organisation.” 2018. Doctoral Dissertation, Paris, Institut d'études politiques. Accessed October 15, 2019. http://www.theses.fr/2018IEPP0020.

MLA Handbook (7th Edition):

Graaf, Anne van der. “Managing financial risks : protecting the organisation : Gérer les risques financiers : protéger l'organisation.” 2018. Web. 15 Oct 2019.

Vancouver:

Graaf Avd. Managing financial risks : protecting the organisation : Gérer les risques financiers : protéger l'organisation. [Internet] [Doctoral dissertation]. Paris, Institut d'études politiques; 2018. [cited 2019 Oct 15]. Available from: http://www.theses.fr/2018IEPP0020.

Council of Science Editors:

Graaf Avd. Managing financial risks : protecting the organisation : Gérer les risques financiers : protéger l'organisation. [Doctoral Dissertation]. Paris, Institut d'études politiques; 2018. Available from: http://www.theses.fr/2018IEPP0020


University of Waterloo

13. Kholodova, Olena. Climate Change and the Canadian Financial Services Sector.

Degree: 2017, University of Waterloo

 Canada is highly dependent on the emission intensive sectors and at the same time, sectors that are vulnerable to variations in weather and extreme events.… (more)

Subjects/Keywords: climate change; financial sector; climate change-related risks; transition to a low-carbon economy

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APA (6th Edition):

Kholodova, O. (2017). Climate Change and the Canadian Financial Services Sector. (Thesis). University of Waterloo. Retrieved from http://hdl.handle.net/10012/12569

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Kholodova, Olena. “Climate Change and the Canadian Financial Services Sector.” 2017. Thesis, University of Waterloo. Accessed October 15, 2019. http://hdl.handle.net/10012/12569.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Kholodova, Olena. “Climate Change and the Canadian Financial Services Sector.” 2017. Web. 15 Oct 2019.

Vancouver:

Kholodova O. Climate Change and the Canadian Financial Services Sector. [Internet] [Thesis]. University of Waterloo; 2017. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/10012/12569.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Kholodova O. Climate Change and the Canadian Financial Services Sector. [Thesis]. University of Waterloo; 2017. Available from: http://hdl.handle.net/10012/12569

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

14. Chen, Ke. Essays in financial economics.

Degree: PhD, 0074, 2014, University of Illinois – Urbana-Champaign

 My dissertation consists of two essays that investigate dynamic financial phenomena using semi-parametric competing risks models. The first essay analyzes the determinants of corporate defaults… (more)

Subjects/Keywords: semi-parametric competing risks models; corporate defaults and mergers; financial analyst recommendations

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APA (6th Edition):

Chen, K. (2014). Essays in financial economics. (Doctoral Dissertation). University of Illinois – Urbana-Champaign. Retrieved from http://hdl.handle.net/2142/49595

Chicago Manual of Style (16th Edition):

Chen, Ke. “Essays in financial economics.” 2014. Doctoral Dissertation, University of Illinois – Urbana-Champaign. Accessed October 15, 2019. http://hdl.handle.net/2142/49595.

MLA Handbook (7th Edition):

Chen, Ke. “Essays in financial economics.” 2014. Web. 15 Oct 2019.

Vancouver:

Chen K. Essays in financial economics. [Internet] [Doctoral dissertation]. University of Illinois – Urbana-Champaign; 2014. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/2142/49595.

Council of Science Editors:

Chen K. Essays in financial economics. [Doctoral Dissertation]. University of Illinois – Urbana-Champaign; 2014. Available from: http://hdl.handle.net/2142/49595


Brno University of Technology

15. Magic, Matej. Rizika ve finančních krizích v bankovním sektoru .

Degree: 2013, Brno University of Technology

 Bakalárska práca sa zameriava na analýzu rizík súvisiacich so vznikom krízy v bankovom sektore. Práca je rozdelená na tri hlavné tematické bloky. Prvý, teoretický, prezentuje… (more)

Subjects/Keywords: finančná kríza; banky; riziká; bankové krízy; financial crisis; banks; risks; banks crisis

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Magic, M. (2013). Rizika ve finančních krizích v bankovním sektoru . (Thesis). Brno University of Technology. Retrieved from http://hdl.handle.net/11012/27550

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Magic, Matej. “Rizika ve finančních krizích v bankovním sektoru .” 2013. Thesis, Brno University of Technology. Accessed October 15, 2019. http://hdl.handle.net/11012/27550.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Magic, Matej. “Rizika ve finančních krizích v bankovním sektoru .” 2013. Web. 15 Oct 2019.

Vancouver:

Magic M. Rizika ve finančních krizích v bankovním sektoru . [Internet] [Thesis]. Brno University of Technology; 2013. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/11012/27550.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Magic M. Rizika ve finančních krizích v bankovním sektoru . [Thesis]. Brno University of Technology; 2013. Available from: http://hdl.handle.net/11012/27550

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Florida

16. Black, Michael. The Role of Speculation in Capital Markets.

Degree: 2011, University of Florida

 This paper seeks to convey the integrative effects of speculative activity in financial markets and the implications for society. In an effort to gain an… (more)

Subjects/Keywords: Assets; Auditing; Economic bubbles; Financial accounting; Financial investments; Investment risks; Investors; Market prices; Mortgage loans; Securities markets; Accounting; Capital market; Speculation

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Black, M. (2011). The Role of Speculation in Capital Markets. (Thesis). University of Florida. Retrieved from http://ufdc.ufl.edu/AA00059762

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Black, Michael. “The Role of Speculation in Capital Markets.” 2011. Thesis, University of Florida. Accessed October 15, 2019. http://ufdc.ufl.edu/AA00059762.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Black, Michael. “The Role of Speculation in Capital Markets.” 2011. Web. 15 Oct 2019.

Vancouver:

Black M. The Role of Speculation in Capital Markets. [Internet] [Thesis]. University of Florida; 2011. [cited 2019 Oct 15]. Available from: http://ufdc.ufl.edu/AA00059762.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Black M. The Role of Speculation in Capital Markets. [Thesis]. University of Florida; 2011. Available from: http://ufdc.ufl.edu/AA00059762

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Bradford

17. Sasraku, Francis M. Regulatory structures and bank-level risk management in Ghanaian banks.

Degree: Thesis (D.B.A.), 2015, University of Bradford

 This research examines the impact of certain bank-specific variables on bank stability in Ghana, in the context of the existing regulatory structures. The thesis examines… (more)

Subjects/Keywords: Bank capital maintenance; Bank profit mining; Resolution; Bank safety; Bank stability; Financial system; Financial globalisation; Regulation; Systemic risks

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Sasraku, F. M. (2015). Regulatory structures and bank-level risk management in Ghanaian banks. (Doctoral Dissertation). University of Bradford. Retrieved from http://hdl.handle.net/10454/15021

Chicago Manual of Style (16th Edition):

Sasraku, Francis M. “Regulatory structures and bank-level risk management in Ghanaian banks.” 2015. Doctoral Dissertation, University of Bradford. Accessed October 15, 2019. http://hdl.handle.net/10454/15021.

MLA Handbook (7th Edition):

Sasraku, Francis M. “Regulatory structures and bank-level risk management in Ghanaian banks.” 2015. Web. 15 Oct 2019.

Vancouver:

Sasraku FM. Regulatory structures and bank-level risk management in Ghanaian banks. [Internet] [Doctoral dissertation]. University of Bradford; 2015. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/10454/15021.

Council of Science Editors:

Sasraku FM. Regulatory structures and bank-level risk management in Ghanaian banks. [Doctoral Dissertation]. University of Bradford; 2015. Available from: http://hdl.handle.net/10454/15021


Brno University of Technology

18. Kovárník, František. Hodnocení ekonomické situace podniku a návrhy na její zlepšení .

Degree: 2010, Brno University of Technology

 Tato diplomová práce si klade za cíl analyzovat ekonomickou situaci společnosti LIPAN A. EURO, a.s. Pro posouzení jsou v práci využity metody finanční a ekonomické… (more)

Subjects/Keywords: ekonomická analýza; finanční analýza; finanční zdraví; rentabilita; rizika; economical analysis; financial analysis; financial health; rentability; risks

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Kovárník, F. (2010). Hodnocení ekonomické situace podniku a návrhy na její zlepšení . (Thesis). Brno University of Technology. Retrieved from http://hdl.handle.net/11012/7155

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Kovárník, František. “Hodnocení ekonomické situace podniku a návrhy na její zlepšení .” 2010. Thesis, Brno University of Technology. Accessed October 15, 2019. http://hdl.handle.net/11012/7155.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Kovárník, František. “Hodnocení ekonomické situace podniku a návrhy na její zlepšení .” 2010. Web. 15 Oct 2019.

Vancouver:

Kovárník F. Hodnocení ekonomické situace podniku a návrhy na její zlepšení . [Internet] [Thesis]. Brno University of Technology; 2010. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/11012/7155.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Kovárník F. Hodnocení ekonomické situace podniku a návrhy na její zlepšení . [Thesis]. Brno University of Technology; 2010. Available from: http://hdl.handle.net/11012/7155

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Florida

19. Milam, Lee. Derivative Counterparty Risk and Exposure: A Call for Increased Financial Statement Disclosure.

Degree: 2014, University of Florida

 The financial crisis of 2007-2008 had many causes, as ex-post research has shown. One of its major causes was a financial system that increasingly involved… (more)

Subjects/Keywords: Credit risk; Default risk; Financial institutions; Financial risk; Financial statements; Insurance risks; Investment risks; Investors; Mortgage backed securities; Mortgage loans; Derivative securities; Disclosure in accounting; Financial disclosure; Global Financial Crisis (2008-2009)

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APA (6th Edition):

Milam, L. (2014). Derivative Counterparty Risk and Exposure: A Call for Increased Financial Statement Disclosure. (Thesis). University of Florida. Retrieved from http://ufdc.ufl.edu/AA00059956

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Milam, Lee. “Derivative Counterparty Risk and Exposure: A Call for Increased Financial Statement Disclosure.” 2014. Thesis, University of Florida. Accessed October 15, 2019. http://ufdc.ufl.edu/AA00059956.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Milam, Lee. “Derivative Counterparty Risk and Exposure: A Call for Increased Financial Statement Disclosure.” 2014. Web. 15 Oct 2019.

Vancouver:

Milam L. Derivative Counterparty Risk and Exposure: A Call for Increased Financial Statement Disclosure. [Internet] [Thesis]. University of Florida; 2014. [cited 2019 Oct 15]. Available from: http://ufdc.ufl.edu/AA00059956.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Milam L. Derivative Counterparty Risk and Exposure: A Call for Increased Financial Statement Disclosure. [Thesis]. University of Florida; 2014. Available from: http://ufdc.ufl.edu/AA00059956

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Florida

20. Klicker, Riley. Fair Value Accounting and its Role in the Financial Crisis.

Degree: 2011, University of Florida

 The financial crisis that began in 2007 was the dominant story of the second half of the decade. Our economy experienced the worst down-turn since… (more)

Subjects/Keywords: Assets; Auditing; Economic crises; Fair market value; Financial accounting; Financial risk; Investment risks; Mortgage backed securities; Mortgage loans; Wall Street; Fair value – Accounting; Financial crises; Global Financial Crisis (2008-2009)

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APA (6th Edition):

Klicker, R. (2011). Fair Value Accounting and its Role in the Financial Crisis. (Thesis). University of Florida. Retrieved from http://ufdc.ufl.edu/AA00059763

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Klicker, Riley. “Fair Value Accounting and its Role in the Financial Crisis.” 2011. Thesis, University of Florida. Accessed October 15, 2019. http://ufdc.ufl.edu/AA00059763.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Klicker, Riley. “Fair Value Accounting and its Role in the Financial Crisis.” 2011. Web. 15 Oct 2019.

Vancouver:

Klicker R. Fair Value Accounting and its Role in the Financial Crisis. [Internet] [Thesis]. University of Florida; 2011. [cited 2019 Oct 15]. Available from: http://ufdc.ufl.edu/AA00059763.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Klicker R. Fair Value Accounting and its Role in the Financial Crisis. [Thesis]. University of Florida; 2011. Available from: http://ufdc.ufl.edu/AA00059763

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

21. Vincek, Anja. Upravljanje s finančnimi tveganji v podjetju krka.

Degree: 2018, Univerza v Mariboru

V magistrski nalogi bomo s teoretičnega vidika preučili področje finančnih tveganj, opredelili njihove lastnosti ter prikazali učinkovitosti modelov za tržno vrednotenje izpeljanih finančnih instrumentov. Spoznali… (more)

Subjects/Keywords: finančna tveganja; izpostavljenost finančnim tveganjem; obvladovanje finančnih tveganj; finančni instrumenti; merjenje tveganj; kreditno tveganje; likvidnostno tveganje; financial risks; exposure to financial risks; financial risk management; financial instruments; risk measurement; credit risk; liquidity risk; info:eu-repo/classification/udc/658.14/.17

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Vincek, A. (2018). Upravljanje s finančnimi tveganji v podjetju krka. (Masters Thesis). Univerza v Mariboru. Retrieved from https://dk.um.si/IzpisGradiva.php?id=68389 ; https://dk.um.si/Dokument.php?id=123657&dn= ; https://plus.si.cobiss.net/opac7/bib/13006620?lang=sl

Chicago Manual of Style (16th Edition):

Vincek, Anja. “Upravljanje s finančnimi tveganji v podjetju krka.” 2018. Masters Thesis, Univerza v Mariboru. Accessed October 15, 2019. https://dk.um.si/IzpisGradiva.php?id=68389 ; https://dk.um.si/Dokument.php?id=123657&dn= ; https://plus.si.cobiss.net/opac7/bib/13006620?lang=sl.

MLA Handbook (7th Edition):

Vincek, Anja. “Upravljanje s finančnimi tveganji v podjetju krka.” 2018. Web. 15 Oct 2019.

Vancouver:

Vincek A. Upravljanje s finančnimi tveganji v podjetju krka. [Internet] [Masters thesis]. Univerza v Mariboru; 2018. [cited 2019 Oct 15]. Available from: https://dk.um.si/IzpisGradiva.php?id=68389 ; https://dk.um.si/Dokument.php?id=123657&dn= ; https://plus.si.cobiss.net/opac7/bib/13006620?lang=sl.

Council of Science Editors:

Vincek A. Upravljanje s finančnimi tveganji v podjetju krka. [Masters Thesis]. Univerza v Mariboru; 2018. Available from: https://dk.um.si/IzpisGradiva.php?id=68389 ; https://dk.um.si/Dokument.php?id=123657&dn= ; https://plus.si.cobiss.net/opac7/bib/13006620?lang=sl


University of Pretoria

22. Nokaneng, Shima Henock. The concept of economic integration with specific reference to financial integration in southern Africa.

Degree: Economics, 2009, University of Pretoria

 The objective of the study is to establish how original financial integration could be attained in southern Africa in order to attract more foreign investment… (more)

Subjects/Keywords: Monetary policy; Political economy; Financial liberalisation; Southern africa monetary union; Capital flows; Financial integration; Monetary integration; Financial markets; Regional economic integration; Sadc; Risks; UCTD

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Nokaneng, S. (2009). The concept of economic integration with specific reference to financial integration in southern Africa. (Doctoral Dissertation). University of Pretoria. Retrieved from http://hdl.handle.net/2263/23527

Chicago Manual of Style (16th Edition):

Nokaneng, Shima. “The concept of economic integration with specific reference to financial integration in southern Africa.” 2009. Doctoral Dissertation, University of Pretoria. Accessed October 15, 2019. http://hdl.handle.net/2263/23527.

MLA Handbook (7th Edition):

Nokaneng, Shima. “The concept of economic integration with specific reference to financial integration in southern Africa.” 2009. Web. 15 Oct 2019.

Vancouver:

Nokaneng S. The concept of economic integration with specific reference to financial integration in southern Africa. [Internet] [Doctoral dissertation]. University of Pretoria; 2009. [cited 2019 Oct 15]. Available from: http://hdl.handle.net/2263/23527.

Council of Science Editors:

Nokaneng S. The concept of economic integration with specific reference to financial integration in southern Africa. [Doctoral Dissertation]. University of Pretoria; 2009. Available from: http://hdl.handle.net/2263/23527


University of Pretoria

23. [No author]. The concept of economic integration with specific reference to financial integration in southern Africa .

Degree: 2009, University of Pretoria

 The objective of the study is to establish how original financial integration could be attained in southern Africa in order to attract more foreign investment… (more)

Subjects/Keywords: Monetary policy; Political economy; Financial liberalisation; Southern africa monetary union; Capital flows; Financial integration; Monetary integration; Financial markets; Regional economic integration; Sadc; Risks; UCTD

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

author], [. (2009). The concept of economic integration with specific reference to financial integration in southern Africa . (Doctoral Dissertation). University of Pretoria. Retrieved from http://upetd.up.ac.za/thesis/available/etd-03282009-130922/

Chicago Manual of Style (16th Edition):

author], [No. “The concept of economic integration with specific reference to financial integration in southern Africa .” 2009. Doctoral Dissertation, University of Pretoria. Accessed October 15, 2019. http://upetd.up.ac.za/thesis/available/etd-03282009-130922/.

MLA Handbook (7th Edition):

author], [No. “The concept of economic integration with specific reference to financial integration in southern Africa .” 2009. Web. 15 Oct 2019.

Vancouver:

author] [. The concept of economic integration with specific reference to financial integration in southern Africa . [Internet] [Doctoral dissertation]. University of Pretoria; 2009. [cited 2019 Oct 15]. Available from: http://upetd.up.ac.za/thesis/available/etd-03282009-130922/.

Council of Science Editors:

author] [. The concept of economic integration with specific reference to financial integration in southern Africa . [Doctoral Dissertation]. University of Pretoria; 2009. Available from: http://upetd.up.ac.za/thesis/available/etd-03282009-130922/


Ohio University

24. Li, Zhong-Wen. College Students and Credit Card Use in the Twenty-first Century.

Degree: MA, Sociology (Arts and Sciences), 2011, Ohio University

 The issue of college credit card use has been studied in the United States for decades. This work explores the differences of credit card use… (more)

Subjects/Keywords: Sociology; college credit card use; financial management; Taiwanese college credit card use; rationalization; cultural habitus; stigma of debt; distrust of banks; fear of financial risks; credit card law; financial institutions

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Li, Z. (2011). College Students and Credit Card Use in the Twenty-first Century. (Masters Thesis). Ohio University. Retrieved from http://rave.ohiolink.edu/etdc/view?acc_num=ohiou1299878749

Chicago Manual of Style (16th Edition):

Li, Zhong-Wen. “College Students and Credit Card Use in the Twenty-first Century.” 2011. Masters Thesis, Ohio University. Accessed October 15, 2019. http://rave.ohiolink.edu/etdc/view?acc_num=ohiou1299878749.

MLA Handbook (7th Edition):

Li, Zhong-Wen. “College Students and Credit Card Use in the Twenty-first Century.” 2011. Web. 15 Oct 2019.

Vancouver:

Li Z. College Students and Credit Card Use in the Twenty-first Century. [Internet] [Masters thesis]. Ohio University; 2011. [cited 2019 Oct 15]. Available from: http://rave.ohiolink.edu/etdc/view?acc_num=ohiou1299878749.

Council of Science Editors:

Li Z. College Students and Credit Card Use in the Twenty-first Century. [Masters Thesis]. Ohio University; 2011. Available from: http://rave.ohiolink.edu/etdc/view?acc_num=ohiou1299878749


University of Florida

25. Dinamarco, Paulo. The Formation of the Private Company Council.

Degree: 2012, University of Florida

 The Financial Accounting Foundation (FAF) trustees have announced that the Private Company Financial Reporting Committee is going to be replaced by a new group, the… (more)

Subjects/Keywords: Accounting interpretations; Accounting standards; Boards of trustees; FASB standards; Financial accounting; Financial statements; Generally accepted accounting principles; Investment risks; Investors; Public companies; Accounting; Accounting – Standards; Financial Accounting Foundation; Private companies

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APA (6th Edition):

Dinamarco, P. (2012). The Formation of the Private Company Council. (Thesis). University of Florida. Retrieved from http://ufdc.ufl.edu/AA00060202

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Dinamarco, Paulo. “The Formation of the Private Company Council.” 2012. Thesis, University of Florida. Accessed October 15, 2019. http://ufdc.ufl.edu/AA00060202.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Dinamarco, Paulo. “The Formation of the Private Company Council.” 2012. Web. 15 Oct 2019.

Vancouver:

Dinamarco P. The Formation of the Private Company Council. [Internet] [Thesis]. University of Florida; 2012. [cited 2019 Oct 15]. Available from: http://ufdc.ufl.edu/AA00060202.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Dinamarco P. The Formation of the Private Company Council. [Thesis]. University of Florida; 2012. Available from: http://ufdc.ufl.edu/AA00060202

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

26. Santos, Jordanno Brunno Nicoletta dos. Desenvolvimento de métodos alternativos para avaliação de riscos segundo o conceito de supervisão baseada em riscos.

Degree: Mestrado, Sistemas Eletrônicos, 2011, University of São Paulo

O sistema de fundos de pensão possui papel fundamental na constituição de poupança e desenvolvimento do mercado financeiro e de capitais de um país. As… (more)

Subjects/Keywords: Actuarial risks; Capital requirements; Exigência de capital; Financial risks; Índice de mortalidade; Mortality index; Riscos atuariais; Riscos financeiros; Risk based supervision; Solvência II; Solvency II; Supervisão baseada em riscos

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Santos, J. B. N. d. (2011). Desenvolvimento de métodos alternativos para avaliação de riscos segundo o conceito de supervisão baseada em riscos. (Masters Thesis). University of São Paulo. Retrieved from http://www.teses.usp.br/teses/disponiveis/3/3142/tde-03042012-080226/ ;

Chicago Manual of Style (16th Edition):

Santos, Jordanno Brunno Nicoletta dos. “Desenvolvimento de métodos alternativos para avaliação de riscos segundo o conceito de supervisão baseada em riscos.” 2011. Masters Thesis, University of São Paulo. Accessed October 15, 2019. http://www.teses.usp.br/teses/disponiveis/3/3142/tde-03042012-080226/ ;.

MLA Handbook (7th Edition):

Santos, Jordanno Brunno Nicoletta dos. “Desenvolvimento de métodos alternativos para avaliação de riscos segundo o conceito de supervisão baseada em riscos.” 2011. Web. 15 Oct 2019.

Vancouver:

Santos JBNd. Desenvolvimento de métodos alternativos para avaliação de riscos segundo o conceito de supervisão baseada em riscos. [Internet] [Masters thesis]. University of São Paulo; 2011. [cited 2019 Oct 15]. Available from: http://www.teses.usp.br/teses/disponiveis/3/3142/tde-03042012-080226/ ;.

Council of Science Editors:

Santos JBNd. Desenvolvimento de métodos alternativos para avaliação de riscos segundo o conceito de supervisão baseada em riscos. [Masters Thesis]. University of São Paulo; 2011. Available from: http://www.teses.usp.br/teses/disponiveis/3/3142/tde-03042012-080226/ ;

27. AQUINO, Joás Tomaz de. Proposta de avaliação de riscos financeiros em projetos inovadores: um estudo multicaso de empresas de tecnologia da informação do Porto Digital em Pernambuco .

Degree: 2016, Universidade Federal de Pernambuco

 Um dos primeiros passos para o sucesso dos projetos é a correta identificação e classificação dos fatores de risco que possuem impacto financeiro substancial. Pois,… (more)

Subjects/Keywords: Projetos inovadores; Avaliação de riscos financeiros; Análise multicritério; Matrizes de riscos; Simulação; Porto Digital; Innovative projects; Financial risks evaluation; Multi-criteria analysis; Risks Matrixes; Simulation; Porto Digital

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APA (6th Edition):

AQUINO, J. T. d. (2016). Proposta de avaliação de riscos financeiros em projetos inovadores: um estudo multicaso de empresas de tecnologia da informação do Porto Digital em Pernambuco . (Thesis). Universidade Federal de Pernambuco. Retrieved from http://repositorio.ufpe.br/handle/123456789/18615

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

AQUINO, Joás Tomaz de. “Proposta de avaliação de riscos financeiros em projetos inovadores: um estudo multicaso de empresas de tecnologia da informação do Porto Digital em Pernambuco .” 2016. Thesis, Universidade Federal de Pernambuco. Accessed October 15, 2019. http://repositorio.ufpe.br/handle/123456789/18615.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

AQUINO, Joás Tomaz de. “Proposta de avaliação de riscos financeiros em projetos inovadores: um estudo multicaso de empresas de tecnologia da informação do Porto Digital em Pernambuco .” 2016. Web. 15 Oct 2019.

Vancouver:

AQUINO JTd. Proposta de avaliação de riscos financeiros em projetos inovadores: um estudo multicaso de empresas de tecnologia da informação do Porto Digital em Pernambuco . [Internet] [Thesis]. Universidade Federal de Pernambuco; 2016. [cited 2019 Oct 15]. Available from: http://repositorio.ufpe.br/handle/123456789/18615.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

AQUINO JTd. Proposta de avaliação de riscos financeiros em projetos inovadores: um estudo multicaso de empresas de tecnologia da informação do Porto Digital em Pernambuco . [Thesis]. Universidade Federal de Pernambuco; 2016. Available from: http://repositorio.ufpe.br/handle/123456789/18615

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Technical University of Lisbon

28. Santos, Célia Cristina Antunes dos. Supervisão dos fundos de pensões baseada na avaliação dos riscos.

Degree: 2008, Technical University of Lisbon

Mestrado em Ciências Actuariais

Os sistemas de pensões privados têm um papel primordial na economia de um país, nomeadamente em Portugal. Dado o clima de… (more)

Subjects/Keywords: fundos de pensões; supervisão baseada no risco; factores de risco; riscos financeiros; riscos actuariais; rating global; pension funds; risk based supervision; risk factors; financial risks; actuarial risks; global rating

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Santos, C. C. A. d. (2008). Supervisão dos fundos de pensões baseada na avaliação dos riscos. (Thesis). Technical University of Lisbon. Retrieved from http://www.rcaap.pt/detail.jsp?id=oai:www.repository.utl.pt:10400.5/674

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Santos, Célia Cristina Antunes dos. “Supervisão dos fundos de pensões baseada na avaliação dos riscos.” 2008. Thesis, Technical University of Lisbon. Accessed October 15, 2019. http://www.rcaap.pt/detail.jsp?id=oai:www.repository.utl.pt:10400.5/674.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Santos, Célia Cristina Antunes dos. “Supervisão dos fundos de pensões baseada na avaliação dos riscos.” 2008. Web. 15 Oct 2019.

Vancouver:

Santos CCAd. Supervisão dos fundos de pensões baseada na avaliação dos riscos. [Internet] [Thesis]. Technical University of Lisbon; 2008. [cited 2019 Oct 15]. Available from: http://www.rcaap.pt/detail.jsp?id=oai:www.repository.utl.pt:10400.5/674.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Santos CCAd. Supervisão dos fundos de pensões baseada na avaliação dos riscos. [Thesis]. Technical University of Lisbon; 2008. Available from: http://www.rcaap.pt/detail.jsp?id=oai:www.repository.utl.pt:10400.5/674

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Florida

29. Sun, Pengyi. Liquidity Risk Measurement and Management.

Degree: PhD, Mathematics, 2012, University of Florida

 In this paper, we introduced the liquidity risk measures. The coherent risk measure introduced by Artzner[1] does not include the liquidity effects. That is the… (more)

Subjects/Keywords: Assets; Credit risk; Diversification; Finance; Financial risk; Investment risks; Liquidity; Liquidity risks; Optimal solutions; Prices; allocation  – liquidity  – measure  – optimization  – risk  – strategy  – trading

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Sun, P. (2012). Liquidity Risk Measurement and Management. (Doctoral Dissertation). University of Florida. Retrieved from http://ufdc.ufl.edu/UFE0044137

Chicago Manual of Style (16th Edition):

Sun, Pengyi. “Liquidity Risk Measurement and Management.” 2012. Doctoral Dissertation, University of Florida. Accessed October 15, 2019. http://ufdc.ufl.edu/UFE0044137.

MLA Handbook (7th Edition):

Sun, Pengyi. “Liquidity Risk Measurement and Management.” 2012. Web. 15 Oct 2019.

Vancouver:

Sun P. Liquidity Risk Measurement and Management. [Internet] [Doctoral dissertation]. University of Florida; 2012. [cited 2019 Oct 15]. Available from: http://ufdc.ufl.edu/UFE0044137.

Council of Science Editors:

Sun P. Liquidity Risk Measurement and Management. [Doctoral Dissertation]. University of Florida; 2012. Available from: http://ufdc.ufl.edu/UFE0044137

30. Amato, Fernando Bontorim. Implantação de empreendimentos de base imobiliária por meio de fundos de investimento imobiliário: critérios de governança dos recursos financeiros para mitigação de riscos capaz de potencializar a captação de investimentos privados com car.

Degree: PhD, Engenharia de Construção Civil e Urbana, 2009, University of São Paulo

Com o crescimento da economia e a globalização dos mercados financeiros mundiais, produtos novos, formatados de uma maneira profissional que permitam ao investidor maior liquidez… (more)

Subjects/Keywords: Empreendimentos imobiliários; Financial operations; Fundos de investimento; Investment funds; Operação financeira; Real estate developments; Riscos (aspectos econômicos); Risks (economic issues)

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Amato, F. B. (2009). Implantação de empreendimentos de base imobiliária por meio de fundos de investimento imobiliário: critérios de governança dos recursos financeiros para mitigação de riscos capaz de potencializar a captação de investimentos privados com car. (Doctoral Dissertation). University of São Paulo. Retrieved from http://www.teses.usp.br/teses/disponiveis/3/3146/tde-01062009-171952/ ;

Chicago Manual of Style (16th Edition):

Amato, Fernando Bontorim. “Implantação de empreendimentos de base imobiliária por meio de fundos de investimento imobiliário: critérios de governança dos recursos financeiros para mitigação de riscos capaz de potencializar a captação de investimentos privados com car.” 2009. Doctoral Dissertation, University of São Paulo. Accessed October 15, 2019. http://www.teses.usp.br/teses/disponiveis/3/3146/tde-01062009-171952/ ;.

MLA Handbook (7th Edition):

Amato, Fernando Bontorim. “Implantação de empreendimentos de base imobiliária por meio de fundos de investimento imobiliário: critérios de governança dos recursos financeiros para mitigação de riscos capaz de potencializar a captação de investimentos privados com car.” 2009. Web. 15 Oct 2019.

Vancouver:

Amato FB. Implantação de empreendimentos de base imobiliária por meio de fundos de investimento imobiliário: critérios de governança dos recursos financeiros para mitigação de riscos capaz de potencializar a captação de investimentos privados com car. [Internet] [Doctoral dissertation]. University of São Paulo; 2009. [cited 2019 Oct 15]. Available from: http://www.teses.usp.br/teses/disponiveis/3/3146/tde-01062009-171952/ ;.

Council of Science Editors:

Amato FB. Implantação de empreendimentos de base imobiliária por meio de fundos de investimento imobiliário: critérios de governança dos recursos financeiros para mitigação de riscos capaz de potencializar a captação de investimentos privados com car. [Doctoral Dissertation]. University of São Paulo; 2009. Available from: http://www.teses.usp.br/teses/disponiveis/3/3146/tde-01062009-171952/ ;

[1] [2] [3] [4] [5]

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