Browsing by Subject Risk management

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Showing results 48 to 67 of 172 < previous   next >
Issue DateTitleAuthor(s)
2021-01Effect of expected return, self efficacy, and perceived risk on investment intention : an empirical study on accounting master degree in Udayana University, BaliKurniawan, P. Iwan
2021The effect of global risk indicators on developing country stock exchanges : the case of BRICS-TBaykut, Ender; Diyar, Selver
2007The effect of perceived risk, security and trust on the intention to transact with an auction siteDe Cesare, Joanne (2007)
2022-01The effect of risk and stock returns on the quality of profits of industries listed on the Tehran stock exchangeAfrooz, Najafi; Manuchehr, Najafi
2022The effects of intuition and analysis on high-tech opportunity exploitation decisions.Baldacchino, Leonie; Boffa, Nadia
2010Efficient Monte Carlo methods for evaluating the downside risk of financial positionsCaruana, Anne Marie (2010)
2015Enhancing the audit report : an impact assessment on Maltese audit firmsVassallo, Janika
2021An enterprise risk management (ERM) maturity index for European AirportsGatt, Marnick; Grima, Simon; Thalassinos, Yannis E.
2013Establishing a research-based biotechnology sector in Malta : a financial perspectiveBorg, Sean (2013)
2023-12Evaluating the impact of climate risk on financial access and stability in G20 countries : a panel data approach (2006-2017)Nur, Tugba; Sahin, Serkan; Topaloglu, Emre Esat; Ege, Ilhan
2011An evaluation of the risk management process in the granting of credit by local SMEsMicallef, Tracienne
2020Explaining heterogeneity in risk appetite and tolerance : The Turkish caseWoods, Joseph John; Seychell, Sharon; Ozen, Ercan; Spiteri, Jonathan; Suban, Robert; Grima, Simon
2013The feasibility of yacht chartering in Malta : a case studyDamato, Rachel
2015Financial aspects in selected Maltese VOs : a critical appraisalBusuttil, Gabriella
2020Financial derivatives use : a literature reviewGrima, Simon; Thalassinos, Eleftherios I.
2010Fraud risk management techniques in selected Maltese large companies : an assessmentVella, Maria
2008General methodology for risk assessmentFaber, Michael
2011The global financial crisis : a result of weak risk managementAgius, Maria (2011)
2009Governance and disclosure : a standards based approach to the regulation of hedge fundsCaruana Curran, Gianluca
2019Governance, risk and compliance : concerns in sustainability research agendasMoreira Campos da Amarante, JanaĆ­na Gabrielle; Lange Salvia, Amanda; Mifsud, Mark C.