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Editorial.
- Published in:
- Journal of Risk Management in Financial Institutions, 2022, v. 16, n. 1, p. 4
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- Article
Assessing risks in international investments using hesitant fuzzy linguistic term sets.
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- Journal of Risk Management in Financial Institutions, 2022, v. 16, n. 1, p. 79
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- Article
Determining environmental and social risk rating in a multilateral development bank.
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- Journal of Risk Management in Financial Institutions, 2022, v. 16, n. 1, p. 6
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- Article
A coherent economic framework to model correlations between PD, LGD and EaD, and its applications in EaD modelling and IFRS-9.
- Published in:
- Journal of Risk Management in Financial Institutions, 2022, v. 16, n. 1, p. 52
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- Article
Failure of strategic risk management in a life insurance company in India.
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- Journal of Risk Management in Financial Institutions, 2022, v. 16, n. 1, p. 21
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- Article
What can we learn about repurchase programmes and systemic risk? Evidence from US banks during financial turmoil.
- Published in:
- Journal of Risk Management in Financial Institutions, 2022, v. 16, n. 1, p. 34
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- Article
Should investors rely on central bank asset purchases to backstop markets?
- Published in:
- Journal of Risk Management in Financial Institutions, 2022, v. 16, n. 1, p. 13
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- Article