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Browsing by Subject Financial risk management
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Showing results 21 to 40 of 42
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Issue Date
Title
Author(s)
2017
The impact of Solvency II and relevant implementing measures on the insurance firm’s risk management maturity
Grima, Simon
;
Marano, Pierpaolo
;
Bezzina, Frank
2019
Impact of the global recession on financial and economic sustainability of industrial companies
Khudyakova, Tatyana A.
;
Shmidt, Andrey V.
2019-07
Interaction between financial risk management and value of the firm among private equity firms in frontier markets : a theoretical perspective
Florence Waitherero, K.
;
Wanyoike, Muchina S.
;
Muriu, Macharia S.
2011
The internal audit function of major banks in Malta and its role in risk management
Psaila, Christine
2017
La Product Oversight Governance
Marano, Pierpaolo
2007
The management of portfolio risk on the Romanian capital market
Dalia, Simion
;
Toba, Daniel
2022
The new digital era : other emerging risks and opportunities
Grima, Simon
;
Özen, Ercan
;
Boz, Hakan
2022
The new digital era : other emerging risks and opportunities
Grima, Simon
;
Özen, Ercan
;
Boz, Hakan
2019-06
On developing a solvency framework for bookmakers
Cortis, Dominic
2014
A perspective on the proposal for European public sector accounting standards, in the context of accruals in UK government accounting
Jones, Rowan
;
Caruana, Josette
2020
Risk comparison between leveraged and non-leveraged funds : an analysis of risk relative to the leverage being utilised
Gravino, Matthew (2020)
2023
The risk landscape in the digital transformation of finance and insurance
Reepu, Technowize
;
Taneja, Sanjay
;
Grima, Simon
2018
Risk management : comprehensive analysis of key approaches on academic literature and professional certifications
Milenkova, D. A.
2018
Risk management practices adopted by European financial firms with a Mediterranean connection
Grima, Simon
;
Bezzina, Frank
2016
Strengthening value and risk culture using a real-time logical tool
Grima, Simon
;
Klein, Robert W.
;
Zhao, Ronald
;
Bezzina, Frank
;
Lele, Pascal
2020
A thematic analysis and a revisit to literature on cases of improper use of derivatives
Grima, Simon
;
Thalassinos, Eleftherios I.
2019-04
Understanding risk appetite and tolerance : the Turkish case
Woods, Joseph John
;
Seychell, Sharon
;
Ozen, Ercan
;
Spiteri, Jonathan
;
Suban, Robert
;
Grima, Simon
2019
Understanding the investor : a Maltese study of risk and behavior in financial investment decisions
Bonello, Antonietta
;
Grima, Simon
;
Spiteri, Jonathan
2013
The value in using IT-directed investor relationship management
Bezzina, Frank
;
Lele, Pascal
;
Zhao, Ronald
;
Grima, Simon
;
Klein, Robert W.
;
Hellmich, Martin
2022
Volatility spillover between Bitcoin and financial stress index
Nur, Tuğba
;
Korkmaz, Turhan