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[PDF] Top 20 LIQUIDITY MANAGEMENT AND CORPORATE RISK

Has 10000 "LIQUIDITY MANAGEMENT AND CORPORATE RISK" found on our website. Below are the top 20 most common "LIQUIDITY MANAGEMENT AND CORPORATE RISK".

LIQUIDITY MANAGEMENT AND CORPORATE RISK

LIQUIDITY MANAGEMENT AND CORPORATE RISK

... significantly and lenders had became more ...claimants, and they also need to be more aware of their situation, to submit well founded loan applications to financial ...attention and which ones are ... See full document

7

Corporate credit risk modeling

Corporate credit risk modeling

... credit risk modeling literature has grown extensively since the seminal work by Altman (1968) and Merton ...credit risk of their portfolios: the European monetary union and the liberalization ... See full document

128

Corporate Data Quality Management

Corporate Data Quality Management

... line with previous empirical findings. They are also gaining some sponsorship on the business side, at the directors and managers levels. They have the understanding that DQ problems are much more an "IT ... See full document

8

Risk Management and Risk Management Failure: Lessons for Business Enterprises

Risk Management and Risk Management Failure: Lessons for Business Enterprises

... opportunities, and optimise achievement of objectives (Pearce and Robinson, 2000; Hillson and Murray-Webster, 2004; Gray and Larson, 2006; Rejda, ...of risk management. However, ... See full document

15

Corporate Governance & Risk Management in Financial Institutions: An International Comparison  between Brazil and Germany

Corporate Governance & Risk Management in Financial Institutions: An International Comparison between Brazil and Germany

... controllers and internal auditors are indeed employed by the company and therefore do not have, per se, any other role or duty than that of ensuring – or rather only testing – that the management’s rules ... See full document

512

Liquidity Risk Management: An Empirical Analysis on  Panel Data Analysis and ISE Banking Sector

Liquidity Risk Management: An Empirical Analysis on Panel Data Analysis and ISE Banking Sector

... (2010) çalışmasında 12 gelişmiş ülke ekonomisinin 1994-2006 yılları için likidite riskini ölçtüğü çalışmasında likidite riskinin banka performansını etkileyen önemli bir dı[r] ... See full document

18

LIQUIDITY RISK PREMIA: AN EMPIRICAL ANALYSIS OF EUROPEAN CORPORATE BOND YIELDS

LIQUIDITY RISK PREMIA: AN EMPIRICAL ANALYSIS OF EUROPEAN CORPORATE BOND YIELDS

... The main aim of this study was to clearly illustrate the impact of liquidity risk, especially during the subprime crisis, thus demonstrating the need to consider an [r] ... See full document

22

CORPORATE GOVERNANCE IN DEVELOPING ECONOMIES: CASE STUDY OF A ROMANIAN TEXTILE COMPANY

CORPORATE GOVERNANCE IN DEVELOPING ECONOMIES: CASE STUDY OF A ROMANIAN TEXTILE COMPANY

... explores corporate governance issues like ownership structure, gender diversity accountability, risk management and internal audit at managerial level of a textile company listed on the ... See full document

4

Monitoring Liquidity Risk at BPI GA

Monitoring Liquidity Risk at BPI GA

... Despite having a low number of assets – below 60% – contributing to the aggregate spread value before the regression is applicable, in December 2010, it is still possible to find a strong peak in the spread in October ... See full document

38

Counterparty and Liquidity Risk: an analysis of the negative basis

Counterparty and Liquidity Risk: an analysis of the negative basis

... between corporate bonds and treasuries may explain a portion of the basis, as treasures are exempted from local and state taxes and corporate bonds are ...component and reflect ... See full document

51

Book Review - Treasury Management in Medium-Sized Banks

Book Review - Treasury Management in Medium-Sized Banks

... the management process of treasury ...presented: liquidity risk, interest rate risk, share price risk, real estate risk, currency risk, risk resulting from options, ... See full document

2

Liquidity Risk Management in the Portuguese Banking System

Liquidity Risk Management in the Portuguese Banking System

... 3, and continuing on considering a confidence interval of 90%, the previously used lagged explanatory variables ROE and Total Assets remain statistical significant and consistent with the previously ... See full document

29

Effectiveness of Cross-Bord er Corporate Payments

Effectiveness of Cross-Bord er Corporate Payments

... a Corporate Foreign Exchange, Payments and Risk Management Policy Manual is an essential step for structuring critical cross-border corporate payments, to ensure their ...accepted ... See full document

3

THE MANAGEMENT OF THE LIQUIDITY RISK

THE MANAGEMENT OF THE LIQUIDITY RISK

... smaller and smaller in value, because banks are granting credits and no longer have the cash, says ...decrease and increases the volume of loans ... See full document

9

Managing corporate liquidity of tisco ltd: an empirical study

Managing corporate liquidity of tisco ltd: an empirical study

... - Liquidity is the ability of a company to meet the short term obligations (which mature within one accounting ...services, and goods and loss of such incentives may result in higher cost of goods ... See full document

8

Rev. contab. finanç.  vol.19 número46

Rev. contab. finanç. vol.19 número46

... Financial and insurance theories explain that large widely-held corporations manage corporate risks if doing so is cost-ective to reduce frictional costs such as taxes, agency costs and financial ... See full document

22

PUBLIC-PRIVATE PARTNERSHIPS IN LOCAL DISASTER MANAGEMENT: A PANACEA TO ALL LOCAL DISASTER MANAGEMENT ILLS?

PUBLIC-PRIVATE PARTNERSHIPS IN LOCAL DISASTER MANAGEMENT: A PANACEA TO ALL LOCAL DISASTER MANAGEMENT ILLS?

... storm-water management systems, gas and electricity regulation, firefighting services, environmental health, and water and ...disaster risk reduction and ...powers and the ... See full document

41

Gerenciamento de riscos na cadeia agroindustrial de frango: análise da perspectiva dos avicultores em Ubá, Minas Gerais

Gerenciamento de riscos na cadeia agroindustrial de frango: análise da perspectiva dos avicultores em Ubá, Minas Gerais

... inherent and can influence its operation and ...responses and to identify some mitigation strategies adopted in this ...producer and risk related to ...food and increase in the ... See full document

21

How to measure market liquidity risk in financial institutions?

How to measure market liquidity risk in financial institutions?

... mean and variance of the costs of executing a large block of a security over a fixed exogenously defined time ...quickly and with minimal price ...a risk component in execution costs that arise from ... See full document

67

INVENTORY AND RISK MANAGEMENT: DECREASING DELIVERY RISK OF PURCHASERS

INVENTORY AND RISK MANAGEMENT: DECREASING DELIVERY RISK OF PURCHASERS

... Based on the gathered data it was estimated the standard deviation of the delivery time in case of supplier A was 4 days, and for supplier B 6 days. In order to evaluate who is more reliable it is necessary to ... See full document

8

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