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Year of publication
Subject
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Risk control 110 Risikocontrolling 83 Risikomanagement 61 Risk management 55 risk control 31 Deutschland 29 Germany 26 Risiko 14 Bank 13 Theorie 13 Theory 13 Portfolio selection 12 Portfolio-Management 12 Risk 12 Controlling 11 KMU 10 SME 10 China 9 Credit risk 9 Kreditrisiko 9 Risk Control 9 Stochastic process 7 Stochastischer Prozess 7 Strategisches Management 7 Credit rating 6 Kreditwürdigkeit 6 Projektmanagement 6 risk management 6 Bank lending 5 Bank risk 5 Bankrisiko 5 Basel Accord 5 Basler Akkord 5 Corporate finance 5 Kreditgeschäft 5 Lieferkette 5 Logistics 5 Logistik 5 Management 5 Operational risk 5
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Online availability
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Undetermined 51 Free 25 CC license 2
Type of publication
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Article 95 Book / Working Paper 56 Other 1
Type of publication (narrower categories)
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Article in journal 55 Aufsatz in Zeitschrift 55 Aufsatz im Buch 20 Book section 20 Hochschulschrift 10 Thesis 8 Collection of articles of several authors 7 Sammelwerk 7 Case study 6 Fallstudie 6 Aufsatzsammlung 3 Graue Literatur 3 Handbook 3 Handbuch 3 Non-commercial literature 3 Accompanied by computer file 2 Conference paper 2 Elektronischer Datenträger als Beilage 2 Konferenzbeitrag 2 Lehrbuch 2 Software 2 Systematic review 2 Working Paper 2 Übersichtsarbeit 2 Arbeitspapier 1 Article 1 Conference Paper 1 Guidebook 1 Ratgeber 1 Textbook 1 research-article 1 review-article 1
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Language
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English 66 German 58 Undetermined 26 French 2 Lithuanian 1
Author
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Chen, Cheng-Wu 5 Tseng, Chun-Pin 5 Brackschulze, Kai 2 Bührer, Markus 2 Chen, Wenjin 2 Chiang, Wei-Ling 2 Cremers, Heinz 2 DĂNECI-PĂTRĂU, Daniel 2 Gleißner, Werner 2 Hassell, John M. 2 Hsu, Wen-Ko 2 Janßen, Stefan 2 Johnson, Eric N. 2 Kuhn, John R. 2 Löhr, Benjamin W. 2 Mayer-Fiedrich, Matija Denise 2 Miao, Xiaolin 2 Mühlencoert, Thomas 2 Müller, Stefan 2 Peng, Xingchun 2 Pütz, Markus 2 RUSE, Elena 2 Riediger, Henning 2 Rudolph, Bernd 2 SUSMANSCHI, Georgiana 2 Schöning, Stephan 2 Shiina, Takayuki 2 Stiefl, Jürgen 2 Walzner, Jens 2 Wang, Wenyuan 2 Wolke, Thomas 2 Xu, Chunhui 2 Zwack, Thomas 2 ?erbãnescu Iuliu Cosmin 1 Ahrens-Freudenberg, Heike 1 Ajmi, Dhouha Nefla 1 Aleknevičienė, Vilija 1 Alessandro, Trudda 1 Alexandra, Carol 1 Amedzro St-Hilaire, Walter 1
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Institution
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Université Paris-Dauphine (Paris IX) 2 Books on Demand GmbH <Norderstedt> 1 Centre Interuniversitaire de Recherche en Analyse des Organisations (CIRANO) 1 Centro Ricerche Nord Sud (CRENoS) 1 De Gruyter Oldenbourg 1 Directorate for Financial, Fiscal and Enterprises Affairs, Organisation de Coopération et de Développement Économiques (OCDE) 1 Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart> 1 Frankfurt School of Finance and Management 1 Henley Business School, University of Reading 1 Horváth & Partners 1 Lithuanian University of Agriculture 1 Springer Fachmedien Wiesbaden 1 UVK Verlagsgesellschaft mbH 1 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 1
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Published in...
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Natural Hazards 5 Operationelle Risiken : Grundlagen, Messmethoden und Querschnittsthemen in der Praxis 3 Springer eBook Collection 3 SpringerLink / Bücher 3 Strategic change : SC ; briefings in entrepreneurial finance 3 Systemprüfungen in Kreditinstituten : neue Prüfungsansätze für die Bankpraxis 3 Controlling & business accounting 2 Corporate finance / Biz 2 Corporate finance : Finanzierung, Kapitalmarkt, Bewertung, Mergers & Acquisitions 2 Economics Thesis from University Paris Dauphine 2 Finance research letters 2 Frankfurt School - Working Paper Series 2 Modern economy 2 Risiko-Manager 2 SEA - Practical Application of Science 2 Schriften der Wissenschaftlichen Hochschule Lahr 2 Advanced Studies in E-Commerce 1 Afro-Asian Journal of Finance and Accounting 1 Applied Economics and Finance 1 Arbeitspapiere des Instituts für Genossenschaftswesen der Westfälischen Wilhelms-Universität Münster 1 Asian Agricultural Research 1 Assurances et gestion des risques : revue trimestrielle 1 Auditing : a journal of practice & theory 1 Bank-Praktiker : rechtssicher, revisionsfest, risikogerecht 1 Basel III, Risikomanagement und neue Bankenaufsicht 1 Betriebswirtschaftliche Forschung und Praxis : BFuP 1 Business Development : Controlling von strategischen Wachstumsinitiativen ; [Geschäftsmodelle und Geschäftsfelder entwickeln ; Wachstumsprojekte planen und steuern ; Produktinnovation und regionale Expansion ; Prozessoptimierung und Risikocontrolling] 1 CIRANO Working Papers 1 China Finance and Economic Review 1 China finance and economic review : CFER 1 China journal of accounting research : CJAR 1 Construction Management and Economics 1 Controller Agenda 2017 : Trends und Best Practices ; [Tagungsband zum 28. Stuttgarter Controller-Forum ; am 23. und 24. September 2014 im Haus der Wirtschaft in Stuttgart] 1 Controlling & Innovation 2022 : Gesundheitswesen 1 Controlling : Zeitschrift für erfolgsorientierte Unternehmenssteuerung 1 Controlling, Finanzierung, Produktion, Marketing 1 Corporate ownership & control : international scientific journal 1 De Gruyter / Praxishandbuch 1 De Gruyter Textbook 1 Der Controlling-Berater : CB 1
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Source
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ECONIS (ZBW) 118 RePEc 27 EconStor 3 BASE 2 Other ZBW resources 2
Showing 1 - 50 of 152
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Research on the impact of knowledge sharing on risk control of inclusive finance in rural areas during the post-COVID-19 era
Duan, Yunlong; Liu, Yan; Chen, Yilin; Guo, Weiqi; Yang, … - In: Journal of knowledge management 28 (2024) 3, pp. 613-630
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Social Network DeGroot Model : Supporting Consensus Reaching in Opinion Dynamics
Dong, Yucheng; Ding, Zhaogang; Kou, Gang - 2024
Chapter 1. Introduction -- Chapter 2. Social Network DeGroot Model: Consensus and convergence speed -- Chapter 3. Consensus reaching through adding minimum interactions -- Chapter 4. Strategic Manipulations with trust relationships -- Chapter 5. Risk control in the evolution of public opinions...
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The role of accounting conservatism in M&A target selection
Tang, Qingquan; Guo, Jingjing; Huang, Zhihong - In: China journal of accounting research : CJAR 14 (2021) 4, pp. 1-22
Mergers and acquisitions (M&As) are among the most important investment activities for companies, but they contain great risks. We investigate the role of accounting conservatism in M&A target selection and risk. We find that for risk-averse reasons, firms with high accounting conservatism are...
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Transparency and accountability influences of regulation on risk control : the case of a Swedish bank
Kashyap, Shruti; Iveroth, Einar - In: Journal of management & governance 25 (2021) 2, pp. 475-508
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The Whole Process of E-commerce Security Management System : Design and Implementation
Zhang, Ronggang; Fang, Lijuan; He, Xiaoping; Wei, Chuan - 2023
Introduction -- Theoretical framework of e-commerce security management -- Current situation and requirements of e-commerce security management -- Design of e-commerce whole process security management system -- Controlling information risk in e-commerce -- Controlling network risk in e-commerce...
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Trading under the proof-of-stake protocol : a continuous-time control approach
Tang, Wenpin; Yao, David D. - In: Mathematical finance : an international journal of … 33 (2023) 4, pp. 979-1004
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Information technology project management research : a review of works by influential pioneers
Wu, Xiaosong; Tsai, Jacob Chia-An; Lei, Yang - In: Project management journal 54 (2023) 4, pp. 366-391
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Internet of Things and blockchain-based smart contracts : enabling continuous risk monitoring and assessment in peer-to-peer lending
Zhang, Zihao; Gu, Yu; Jiang, Lanxin; Yu, Wenjun; Dai, Jun - In: Journal of emerging technologies in Accounting 20 (2023) 2, pp. 181-194
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Monte-Carlo-Simulation im Risiko-Controlling : am Beispiel eines Financial Models in Excel
Daume, Robin; Ernst, Dietmar - 2022 - 1. Auflage
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Kelly investing with downside risk control in a regime-switching market
MacLean, Leonard C.; Zhao, Yonggan - In: Quantitative finance 22 (2022) 1, pp. 75-94
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Supply Chain Finance : Credit Empowers the Future
Sun Xuefeng - 2022
Background of Supply Chain Finance -- Model of Credit Empowerment -- Developement Stages of Credit Empowerment -- Technical and Legal foundation of Digital Debt Instruments -- Credit Empowerment Practice Based on Digital Debt Instruments -- Introduction of Supply Chain Finance Solutions -- Risk...
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Property rights reform and capital adequacy ratios of rural credit cooperatives in China
Wang, Jiamei; Chen, Haibin; Zhang, Heng; Luo, Jianchao; … - In: Economic modelling 106 (2022), pp. 1-13
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Risikomanagement und Risikocontrolling in Krankenhäusern : Implikationen zur Weiterentwicklung in Pandemiezeiten
Liebscher, Dagmar; Reiss, Hans-Christoph - In: Controlling & Innovation 2022 : Gesundheitswesen, (pp. 113-149). 2022
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The value of trade credit under risk controls
Chen, Xu; Qi, Lian; Shen, Zuo-Jun; Xu, Ye - In: International journal of production research 59 (2021) 8, pp. 2498-2521
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Status analysis and control measures of the debt risk in Chinese local government: based on the study of the relationship between “power, responsibility, and interests”
Miao, Xiaolin - In: China Finance and Economic Review 4 (2016) 1, pp. 1-19
From the view of current conditions and developing trends of the debt scale in Chinese local government, the debt crisis will explode in the near future if it cannot be controlled in an effective way. According to the regional distribution in China, except for Beijing, Shanghai, Tianjin, and...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011658424
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Status analysis and control measures of the debt risk in Chinese local government : based on the study of the relationship between "power, responsibility, and interests"
Miao, Xiaolin - In: China finance and economic review : CFER 4 (2016), pp. 1-19
From the view of current conditions and developing trends of the debt scale in Chinese local government, the debt crisis will explode in the near future if it cannot be controlled in an effective way. According to the regional distribution in China, except for Beijing, Shanghai, Tianjin, and...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011499389
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Tax risks control and sustainable development: evidence from China
Chen, Wanyi - In: Meditari Accountancy Research 29 (2020) 6, pp. 1381-1400
Purpose Tax risks are common in China but often ignored by enterprises. Determining how to measure tax risks and effectively identify and control influencing factors is the key to the sustainable development of enterprises. This study aims to explore the key factors affecting corporate tax risks...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10014937103
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Risk control in maritime shipping investments
Skålnes, Jørgen; Fagerholt, Kjetil; Pantuso, Giovanni; … - In: Omega : the international journal of management science 96 (2020), pp. 1-15
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Supply Chain Risk Management: A Case Study in Thailand
Raka, Chatchai; Liangrokapart, Jirapan - 2015
While the increasing of globalization trades, the supply chain has been confronted with complexity and insecurity. Supply chain risk management has become an important tool for managing the risks in the supply chain. Thus the objective of this paper is to study the supply chain risk management...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012143072
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Fallacies of Risk Control
Vandenbroucke, Jurgen - In: Applied Economics and Finance 2 (2015) 2, pp. 23-28
This paper demonstrates how risk control as applied to popular investment products can be based on a fallacy. In scope are option-based capital protected products and rules-based portfolio insurance products. In case of structured products risk control shifts the option¡¯s volatility risk from...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011273142
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Risikoinventur
Janßen, Stefan (ed.); Riediger, Henning (ed.) - 2019 - 2. Auflage
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012127019
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Causal or effectual? : dynamics of decision making logics in servitization
Cui, Lianguang; Su, Shong-Iee Ivan; Feng, Yongchun; … - In: Industrial marketing management : the international … 82 (2019), pp. 15-26
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012127971
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Evaluating and classifying the impact of individual risk on the delayed EPC hydropower projects in the developing countries of Asia
Sy Hung Mai; Siphada, Vatthanaly; Wang, Jianqiong; … - In: International journal of risk assessment and management … 22 (2019) 2, pp. 170-194
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Built on value : the Huawei philosophy of finance management
Huang, Weiwei - 2019
1. Huawei's Business Goal -- 2. Huawei's Competition Strategy - A Financial Perspective -- 3. Remaining Flexible to Seize Opportunities amidst Uncertainties -- 4. Enhancing Core Competencies through Strategic Mergers and Acquisitions and Corporate Venture Capital Investment -- 5. Strengthening...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012398587
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Auditor Perceptions of Client Narcissism as a Fraud Attitude Risk Factor
Johnson, Eric N. - 2014
Auditing standards prescribe that the auditor should consider client management's attitude toward fraud when making fraud risk assessments. However, little guidance is provided in the auditing standards or the existing fraud literature on observable indicators of fraud attitude. We test whether...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10013065269
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An Approach to Enterprise RiskManagement for Archive Depos
?erbãnescu Iuliu Cosmin - In: Ovidius University Annals, Economic Sciences Series XIII (2013) 1, pp. 1505-1508
ERM (Enterprise Risk Management) should be considered a solution to the inherent problems within the undertakings. Without deceiving, it really stands for an optimization and replacement of insurance contracts, as a method of potential risk transfer. The way a manager deals with these realities...
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Analysis on finance model and risk control for supply chain finance
Zhang, Qian; Zhang, Zhixiang - In: Journal of statistical and econometric methods 2 (2013) 2, pp. 1-10
As a new modern business model, the unique advantage was proposed for supply chain finance in proposing in small and medium enterprises and competitiveness making of industry chain. But in the risk assessment the unified perfect evaluation, standard is still lack. The finance model of supply...
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Handbuch Neu-Produkt-Prozess : Planung, Durchführung und organisatorische Verankerung von NPPs in Banken
Döringer, Oliver; Duda, Markus; Fetzer, Hans Heinrich; … - 2018
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Shouldn't a model "know" its own ID? : banks can significantly improve their model discipline by embedding one critical piece of information
Hill, Jon R. - In: The journal of structured finance 24 (2018) 3, pp. 89-98
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Formal financial credit constraints and solutions for entrepreneurial farmers
Zhang, Xiaoyan - In: Modern economy 9 (2018) 12, pp. 2268-2282
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011999082
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A single-stage approach for cointegration-based pairs trading
Law, K. F.; Li, Wai Keung; Yu, Philip L. H. - In: Finance research letters 26 (2018), pp. 177-184
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Risk management in finance and logistics
Xu, Chunhui; Shiina, Takayuki - 2018
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011892315
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Optimal investment and risk control for an isurer with partial information in an anticipating environment
Peng, Xingchun; Chen, Fenge; Wang, Wenyuan - In: Scandinavian actuarial journal (2018) 10, pp. 933-952
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Risk Management in Finance and Logistics
Xu, Chunhui; Shiina, Takayuki - 2018
This is the first book to introduce the major quantitative tools in risk management taking financial investments and logistics planning as the background: optimization and stochastic programming. Contained here are the fundamentals of portfolio selection theory from the point of view of risk...
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ПОСТРОЕНИЕ ЭФФЕКТИВНОЙ СИСТЕМЫ ВНУТРЕННЕГО КОНТРОЛЯ КОРПОРАЦИИ НА ОСНОВЕ РИСК-ОРИЕНТИРОВАННОГО ПОДХОДА
ДЕЙНЕГА В.Н. - In: TERRA ECONOMICUS 10 (2012) 3, pp. 62-64
Данная статья посвящена проблеме повышения эффективности внутреннего контроля корпорации и построению системы контроля на основе риск-ориентированного подхода.
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Financial crisis: a new measure for risk of pension funds assets
Cadoni, M.; Melis, R.; Trudda, A. - Centro Ricerche Nord Sud (CRENoS) - 2012
It has been debated that pension funds should have limitations on their asset allocation, based on the risk profile of the different financial instruments available on the financial markets. This issue proves to be highly relevant at times of market crisis, when a regulation establishing limits...
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Konzeptualisierung eines betrieblichen Chancen- und Risiko-Reportings als Element eines ganzheitlichen Risikocontrollings in kleinen und mittelständischen Unternehmen der Metall- und Elektroindustrie unter besonderer Berücksichtigung der Bankkommunikation
Bührer, Markus; Pütz, Markus; Schöning, Stephan - 2012
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015207929
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Konzeptualisierung eines betrieblichen Chancen- und Risiko-Reportings als Element eines ganzheitlichen Risikocontrollings in kleinen und mittelständischen Unternehmen der Metall- und Elektroindustrie unter besonderer Berücksichtigung der Bankkommunikation
Bührer, Markus; Pütz, Markus; Schöning, Stephan - 2012
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The role of correlation in risk profile portfolios
Vandenbroucke, Jürgen - In: The journal of asset management 18 (2017) 2, pp. 144-153
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Grundlagen des Prozessmanagements und die Bedeutung für die Interne Revision
Dolpp, Andreas - In: Systemprüfungen in Kreditinstituten : neue …, (pp. 11-25). 2017
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011719091
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Berücksichtigung von Wirtschaftlichkeitsaspekten bei Systemprüfungen
Becker, Axel - In: Systemprüfungen in Kreditinstituten : neue …, (pp. 27-60). 2017
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Berücksichtigung des internen Kontrollsystems im Rahmen von Systemprüfungen der Internen Revision
Rosner-Niemes, Susanne - In: Systemprüfungen in Kreditinstituten : neue …, (pp. 61-79). 2017
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Optimal investment and risk control for an insurer with stochastic factor
Bo, Lijun; Wang, Shihua - In: Operations research letters 45 (2017) 3, pp. 259-265
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Theory and practice on lending risk control by the government in the Song Dynasty
Zhou, Jianbo; Wang, Ruixin; Zhou, Jiantao; Zhao, Yuheng - In: Emerging markets finance & trade : a journal of the … 53 (2017) 4, pp. 986-1000
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Risk control : who cares?
Taylor, Nicholas - In: European financial management : the journal of the … 23 (2017) 1, pp. 153-179
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Treasury und Risikocontrolling in Banken : Organisation, Aufgaben und aktuelle Herausforderungen
Bodemer, Sebastian; Vollenweider, Peter - 2017
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Risk Control im Rahmen der Governance von Stromübertragungsnetzbetreibern
Gross, Michael Dominique - 2017
(Strom)Übertragungsnetzbetreiber (ÜNB) nehmen eine wichtige Stellung innerhalb der Stromwirtschaft ein: Sie sind für die Systemsicherheit und Funktionsfähigkeit der Stromnetze sowie für deren diskriminierungsfreie Bereitstellung an andere Marktpartner im Rahmen der europäischen...
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Innovationen als Objekte des unternehmenswertorientierten Controllings : modellbasierte Risikoanalyse auf der Projekt- und Portfolio- Ebene
Feykes, Alexandra - 2017 - 1. Auflage
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Pension funds rules : paradoxes in risk control
Cadoni, Marinella; Melis, Roberta; Trudda, Alessandro - In: Finance research letters 22 (2017), pp. 20-29
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Selection of PPP projects in China based on government guarantees and fiscal risk control
Jiang, Yong - In: International journal of financial research 8 (2017) 1, pp. 99-111
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011791816
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