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Managing risk and decision making in times of economic distress, Part B
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(eng) English
9781802629729
Contemporary Studies in Economic and Financial Analysis
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Managing Risk and Decision Making in Times of Economic Distress adds much needed scholarly analysis of the fledgling decision/control approach, arguing the merits of its empirical content to shed light on the structure of capital contracts and rationale for diversity of objectives.
1 online resource (xvi, 235 p.)
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Chapter 1. Macroprudential Policy Contribution to the Post Covid-19 Pandemic Economic Recovery; Victoria Cociug and Larisa Mistrean
Chapter 2. Sustainable Tourism in the Current European Context; Adriana Scrioşteanu, Cătălin Mihail Barbu, and Maria Magdalena Criveanu
Chapter 3. The Path towards International Non-financial Reporting Framework; Daniel Zdolšek, Vita Jagrič, Tjaša Štrukelj, and Sabina Taškar Beloglavec
Chapter 4. Public Policy and Entrepreneurial Activity: Do We have a Winning Tandem? Channels and Conduits; Vătavu Sorana, Teodorescu Delia, Nicolescu Ana-Cristina, Florin Costea, and Lobonț Oana-Ramona
Chapter 5. The Importance of Human Resources Competencies in Organizational Cyber Risk Management; Anca Băndoi, Cătălina Sitnikov, Daniela Dănciulescu, Lucian Mandache, and Ionut Riza
Chapter 6. Sustainability Development assessment and indicators; Claudiu George Bocean, Luminița Popescu, and Adrian-Florin Budică-Iacob
Chapter 7. The Credit Market for Small and Medium Enterprises in the Republic of Moldova; Mistrean Larisa, Bușmachiu Eugenia, and Staver Liliana
Chapter 8. The Role of Digitalization in Reducing Risks and Bridging Regional Economic Welfare Gaps Within a Sustainable Development Framework: The Case of Romania; Graţiela Georgiana Noja, Mirela Cristea, Nicoleta Sîrghi, and Ioana Vădăsan
Chapter 9. The Impact of Information Technologies on Business During the Covid 19 Pandemic Outbreak; Luan Vardari; Qendrim Bytyqi; Ardelin Lumi
Chapter 10. Examining the Effects of Sustainable HRM on Work Wellbeing: The Role of Voice Behaviour and Trust In Management; Rathinasamy Prince, Nitin Simha Vihari, and M.Kameshwar Rao
Chapter 11. Changing Consumer Behaviour During the Pandemic Period: The Rise of Digital Transformation; Bilge Villi
Chapter 12. Estimating the Financial Cycle under Limited Data Availability: Alternative Methods; Kristina Bojare
Chapter 13. An Assessment of the Borsa Istanbul Insurance Index Return Structure: The Markov Regime Switching Model; Ender Baykut and Ercan Özen
Chapter 14. Portfolio Performance of Public Sector General Insurance Companies in India: A Comparative Analysis; Kiran Sood, Navneet Seth, and Simon Grima
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