Showing 1 - 20 results of 23 for search 'CORPORATE RISK MANAGEMENT', query time: 1.12s Refine Results
  1. 1
    by Jui-Ping Lo, 羅瑞萍
    Published 2014
    ... of bad credit. Therefore, whether the financial risk management and corporate governance of enterprises...
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  2. 2
    by Chen Yu-pei, 陳玉佩
    Published 2014
    ... two corporate credit risk models (for non-group enterprises), upon corporate debt ratio of >50...
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  3. 3
    by Hsiao-Hua Lo, 羅曉華
    Published 2014
    ... achieving the effect of early warning and risk management. In empirical analysis, the financial information...
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  4. 4
    by Mei-Fang Chang, 張美芳
    Published 2014
    ... management and early warning. A total of 28 financial ratio variables and 4 corporate governance variables...
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  5. 5
    by Mei-Lan Tseng, 曾美蘭
    Published 2012
    ... professional credit risk models, considering the agency problems generated by the management and ownership...
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  6. 6
    by Shu-Li Huang, 黃淑麗
    Published 2013
    ... predict the financial risk in managing family and non-family corporations. The empirical findings show...
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  7. 7
    by Chu-Mei Chin, 金菊美
    Published 2012
    ... and to buttress their risk management. Statistical procedures such as K-S tests, M-U tests and logit regressions...
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  8. 8
    by Yi-Jing Kuo, 郭怡璟
    Published 2012
    ... emphasis on corporate governance would reduce the incidence of credit risk. ...
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  9. 9
    by Feng-Chung Yang, 楊豐仲
    Published 2014
    ... are to find out the important factors that may affect corporate performance in order to construct a creit risk...
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  10. 10
    by Chuan-Yi Lu, 呂娟宜
    Published 2012
    ... performance.. Keywords: corporate governance, agency problem, financial risk management, financial prediction ...
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  11. 11
    by Huang-Chiu Hao, 黃秋豪
    Published 2012
    ... general managers simultaneously was considered to identify the significant variables affecting corporate...
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  12. 12
    by Chien-Chang Huang, 黃建章
    Published 2014
    ... achieve the effects of warning in advance and risk management by using the financial information...
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  13. 13
    by Tsung-Ta Chen, 陳聰達
    Published 2014
    ... that is suffering from financial losses, and subsequently improve the company''s management of risk. Using...
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  14. 14
    by Chi-Wei Yang, 楊淇崴
    Published 2014
    ... the risk management. According to the empirical results of this study show that if the debt-to-equity...
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  15. 15
    by Pei-Yu Hung, 洪珮瑜
    Published 2013
    ..., the empirical value and meaning of family industry emphasis on financial risk management and corporate...
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  16. 16
    by Hung-Ling Li, 黎紅玲
    Published 2012
    ... methods to construct a logistic credit risk model on non-group companies through discussions of agency...
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  17. 17
    by Fe-In-Huang, 黃斐霠
    Published 2014
    ... risks, to achieve the effect of prior warning and risk management. The sample was selected from...
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  18. 18
    by Wen-Chiang Yang, 楊文江
    Published 2013
    ... corporate performance instead. The Credit Risk Models could provide effective suggestions to managers...
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  19. 19
    by Hsiu-Chin Chen, 陳秀景
    Published 2013
    ... risk losses and achieve early warning and risk management. In empirical analysis, the 28 financial...
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  20. 20
    by Hui-Qing Shi, 施惠青
    Published 2014
    ... for warning and risk management. With the data of non-group listed companies and OTC-traded companies during...
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