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1“...碩士 === 淡江大學 === 保險學系保險經營碩士班 === 97 === Enterprise risk management (ERM) has been around and popular...”
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3“... out labor-intensive, high-risk and economically infeasible tasks to third parties. Because of high...”
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4“.... For this reason, risk management becomes a critical topic discussed by project managers during project performance...”
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5“... that increase limitlessly in the face of the competition in the future, what a trade risk management...”
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6“... management under considering idiosyncratic risk. We further investigate the effects of composition of real...”
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7“... disruption occurs. The purpose of this research is to investigate relationships among risk management...”
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8“... management on bank Value-at-Risk (VaR) in context of international evidence. Our empirical evidences indicate...”
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9“.... According to the demand for risk management, firms have to develop a model of whole risk measurement, so we...”
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10“... to the hedging and risk management of various financial products. The fixed income market generally...”
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11“... help people to manage trading risk. When getting lower risk in trading, then loss of the trading...”
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12“... their financial risk management. In the following case analysis study, I'd like to take 2 leasing companies, A...”
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13“..., the variety and severity of risks that corporates face are on the rise. Although managing market risk...”
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15“... to find out better solutions by means of risk management and the analysis of economic benefits over cost...”
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17“... software enterprises. Risk management is an important part of project management, which includes 9...”
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18“... of strategy of consistent risk management. Regarding the system of risk management for futures fund, both E.U...”
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19“... systems and measurement methodologies to manage and monitor market and credit risks. The current practices...”
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20“... other channels. However, for firms with high financially distressed risk or financial constraints...”
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