Works matching IS 22279091 AND DT 2022 AND VI 10 AND IP 5
Results: 22
Trust in and Risk of Technology in Organizational Digitalization.
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- Risks, 2022, v. 10, n. 5, p. 90, doi. 10.3390/risks10050090
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- Article
Assessing the Market Risk on the Government Debt of Kazakhstan and Bulgaria in Conditions of Turbulence.
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- Risks, 2022, v. 10, n. 5, p. 93, doi. 10.3390/risks10050093
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Monitoring the Modern Experience of Financial Risk Management in Russia Based on Corporate Social Responsibility for Sustainable Development.
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- Risks, 2022, v. 10, n. 5, p. 92, doi. 10.3390/risks10050092
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Security Threats in Intelligent Transportation Systems and Their Risk Levels.
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- Risks, 2022, v. 10, n. 5, p. 91, doi. 10.3390/risks10050091
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- Article
Exchange Rate Crisis among Inflation Targeting Countries in Sub-Saharan Africa.
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- Risks, 2022, v. 10, n. 5, p. 94, doi. 10.3390/risks10050094
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- Article
A Proposed Methodology for Literature Review on Operational Risk Management in Banks.
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- Risks, 2022, v. 10, n. 5, p. 108, doi. 10.3390/risks10050108
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A Systematic Literature Review of Volatility and Risk Management on Cryptocurrency Investment: A Methodological Point of View.
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- Risks, 2022, v. 10, n. 5, p. 107, doi. 10.3390/risks10050107
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- Article
Corporate Social Responsibility as an Alternative Approach to Financial Risk Management: Advantages for Sustainable Development.
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- Risks, 2022, v. 10, n. 5, p. 106, doi. 10.3390/risks10050106
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EM Estimation for the Bivariate Mixed Exponential Regression Model.
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- Risks, 2022, v. 10, n. 5, p. 105, doi. 10.3390/risks10050105
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- Article
Financial Planning for Retirement: The Mediating Role of Culture.
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- Risks, 2022, v. 10, n. 5, p. 104, doi. 10.3390/risks10050104
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The Impact of Corporate Social Responsibility and Innovative Strategies on Financial Performance.
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- Risks, 2022, v. 10, n. 5, p. 103, doi. 10.3390/risks10050103
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Risk Assessment of Polish Joint Stock Companies: Prediction of Penalties or Compensation Payments.
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- Risks, 2022, v. 10, n. 5, p. 102, doi. 10.3390/risks10050102
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- Article
Portfolio Optimization for Extreme Risks with Maximum Diversification: An Empirical Analysis.
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- Risks, 2022, v. 10, n. 5, p. 101, doi. 10.3390/risks10050101
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- Article
The Risk of the COVID-19 Pandemic and Its Influence on the Business Insurance Market in the Medium- and Long-Term Horizon.
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- Risks, 2022, v. 10, n. 5, p. 100, doi. 10.3390/risks10050100
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- Article
Temporal Clustering of the Causes of Death for Mortality Modelling.
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- Risks, 2022, v. 10, n. 5, p. 99, doi. 10.3390/risks10050099
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- Article
Is the Financial Report Quality Important in the Default Prediction? SME Portuguese Construction Sector Evidence.
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- Risks, 2022, v. 10, n. 5, p. 98, doi. 10.3390/risks10050098
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- Article
What We Know about Research on Life Insurance Lapse: A Bibliometric Analysis.
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- Risks, 2022, v. 10, n. 5, p. 97, doi. 10.3390/risks10050097
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- Article
Pricing Longevity Bonds under a Credibility Framework with Limited Available Data.
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- Risks, 2022, v. 10, n. 5, p. 96, doi. 10.3390/risks10050096
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Forming a Risk Management System Based on the Process Approach in the Conditions of Economic Transformation.
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- Risks, 2022, v. 10, n. 5, p. 95, doi. 10.3390/risks10050095
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- Article
Using School Systems as a Hub for Risk and Disaster Management: A Case Study of Greece.
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- Risks, 2022, v. 10, n. 5, p. 89, doi. 10.3390/risks10050089
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- Article
BRICS Capital Markets Co-Movement Analysis and Forecasting.
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- Risks, 2022, v. 10, n. 5, p. 88, doi. 10.3390/risks10050088
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- Article
Systemic Risk Management of Investments in Innovation Based on CSR.
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- Risks, 2022, v. 10, n. 5, p. 87, doi. 10.3390/risks10050087
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- Article