Risk Management and Corporate Governance (eBook, ePUB)
Redaktion: Jalilvand, Abol; Malliaris, Tassos
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Risk Management and Corporate Governance (eBook, ePUB)
Redaktion: Jalilvand, Abol; Malliaris, Tassos
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The book allows academics and practitioners to assess the state of international research in risk management and corporate governance. The chapters overlay the areas of risk management and corporate governance on both financial and operating decisions of a firm while treating legal and political environments as externalities to decisions undertaken.
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The book allows academics and practitioners to assess the state of international research in risk management and corporate governance. The chapters overlay the areas of risk management and corporate governance on both financial and operating decisions of a firm while treating legal and political environments as externalities to decisions undertaken.
Dieser Download kann aus rechtlichen Gründen nur mit Rechnungsadresse in A, B, BG, CY, CZ, D, DK, EW, E, FIN, F, GR, HR, H, IRL, I, LT, L, LR, M, NL, PL, P, R, S, SLO, SK ausgeliefert werden.
Produktdetails
- Produktdetails
- Verlag: Taylor & Francis eBooks
- Seitenzahl: 494
- Erscheinungstermin: 13. Mai 2013
- Englisch
- ISBN-13: 9781136644900
- Artikelnr.: 38273459
- Verlag: Taylor & Francis eBooks
- Seitenzahl: 494
- Erscheinungstermin: 13. Mai 2013
- Englisch
- ISBN-13: 9781136644900
- Artikelnr.: 38273459
- Herstellerkennzeichnung Die Herstellerinformationen sind derzeit nicht verfügbar.
Abol Jalilvand received his Ph.D. in Finance from the University of North Carolina at Chapel Hill. His scholarly work in corporate debt structure, risk management, cost of capital and international capital flows has appeared in top refereed journals. He is Dean of the School of Business Administration and Graduate School of Business at Loyola University Chicago. A.G. (Tassos) Malliaris, PhD, joined Loyola University Chicago in 1972 and is currently Professor of Economics and Finance and holds the Walter F. Mullady Sr. Chair in Business Administration. He specializes in financial economics and has made significant contributions in the area of futures and options markets.
Introduction. Abolhassan Jalilvand and A.G. Malliaris Part I: The
Performance Effects of Risk Management and Corporate Governance 1.
Managers' Behavior when Governance is Weak. Ralf Steinhauser 2. Stock
Repurchase Programs and Corporate Governance: Ethical Issues and Dilemmas.
Richard McGowan 3. The Role of Enterprise Risk Management in Determining
Audit Fees: Complement or Substitute. Kurt Desender and Esteban Lafuente
4. Performance Based Equity Grants and Corporate Governance Choices. Yu
Flora Kuang and Bo Qin Part II: Theoretical and Experimental Approaches to
Risk Management 5. Board Risk Oversight, Hedging Intensity, and the
Idiosyncratic Risk of U.S. Banks. Kathy Fogel, Yingying Shao, and Timothy
Yeager 6. Tail Dependence of Major U.S. Stocks. Long Kang and Simon Babbs
7. Investors' Cognitive Profile and Herding. Beatriz Fernández, Teresa
Garcia-Merino,Rosa Mayoral Valle Santos, and Eleuterio Vallelado 8. Sample
Tangency Portfolio, Representativeness and Ambiguity: Impact of the Law of
Small Numbers. Ghislain Yanou Part III: Global Dimensions of Corporate
Governance and Risk Management 9. A Theoretical Framework for Voluntary
Corporate Governance. Rodrigo Zeidan 10. Lending Currency Mix of Globalized
Banks: A Potential Risk for Foreign Affiliates via Internal Fund Transfer.
Yuki Masujima 11. Corporate Governance of Banks. Peter O. Mülbert Part IV:
Legal and Regulatory Dimensions of Corporate Governance and Risk Management
12. Corporate Political Spending & Shareholders' Rights: Why the U.S.
Should Adopt the British Approach. Ciara Torres-Spellicy 13. Disclosure
2.0: Leveraging Technology to Address 'Complexity' and Information Failures
in the Financial Crisis. Erik Gerding 14. Data Integrity Preservation and
Identity Theft Prevention: Operational and Strategic Imperatives to Enhance
Shareholder and Consumer Value. Kevin Govern and John Winn 15. Credit
Derivatives and Corporate Governance: A Review of Corporate Theory. P.M.
Vasudev
Performance Effects of Risk Management and Corporate Governance 1.
Managers' Behavior when Governance is Weak. Ralf Steinhauser 2. Stock
Repurchase Programs and Corporate Governance: Ethical Issues and Dilemmas.
Richard McGowan 3. The Role of Enterprise Risk Management in Determining
Audit Fees: Complement or Substitute. Kurt Desender and Esteban Lafuente
4. Performance Based Equity Grants and Corporate Governance Choices. Yu
Flora Kuang and Bo Qin Part II: Theoretical and Experimental Approaches to
Risk Management 5. Board Risk Oversight, Hedging Intensity, and the
Idiosyncratic Risk of U.S. Banks. Kathy Fogel, Yingying Shao, and Timothy
Yeager 6. Tail Dependence of Major U.S. Stocks. Long Kang and Simon Babbs
7. Investors' Cognitive Profile and Herding. Beatriz Fernández, Teresa
Garcia-Merino,Rosa Mayoral Valle Santos, and Eleuterio Vallelado 8. Sample
Tangency Portfolio, Representativeness and Ambiguity: Impact of the Law of
Small Numbers. Ghislain Yanou Part III: Global Dimensions of Corporate
Governance and Risk Management 9. A Theoretical Framework for Voluntary
Corporate Governance. Rodrigo Zeidan 10. Lending Currency Mix of Globalized
Banks: A Potential Risk for Foreign Affiliates via Internal Fund Transfer.
Yuki Masujima 11. Corporate Governance of Banks. Peter O. Mülbert Part IV:
Legal and Regulatory Dimensions of Corporate Governance and Risk Management
12. Corporate Political Spending & Shareholders' Rights: Why the U.S.
Should Adopt the British Approach. Ciara Torres-Spellicy 13. Disclosure
2.0: Leveraging Technology to Address 'Complexity' and Information Failures
in the Financial Crisis. Erik Gerding 14. Data Integrity Preservation and
Identity Theft Prevention: Operational and Strategic Imperatives to Enhance
Shareholder and Consumer Value. Kevin Govern and John Winn 15. Credit
Derivatives and Corporate Governance: A Review of Corporate Theory. P.M.
Vasudev
Introduction. Abolhassan Jalilvand and A.G. Malliaris Part I: The
Performance Effects of Risk Management and Corporate Governance 1.
Managers' Behavior when Governance is Weak. Ralf Steinhauser 2. Stock
Repurchase Programs and Corporate Governance: Ethical Issues and Dilemmas.
Richard McGowan 3. The Role of Enterprise Risk Management in Determining
Audit Fees: Complement or Substitute. Kurt Desender and Esteban Lafuente
4. Performance Based Equity Grants and Corporate Governance Choices. Yu
Flora Kuang and Bo Qin Part II: Theoretical and Experimental Approaches to
Risk Management 5. Board Risk Oversight, Hedging Intensity, and the
Idiosyncratic Risk of U.S. Banks. Kathy Fogel, Yingying Shao, and Timothy
Yeager 6. Tail Dependence of Major U.S. Stocks. Long Kang and Simon Babbs
7. Investors' Cognitive Profile and Herding. Beatriz Fernández, Teresa
Garcia-Merino,Rosa Mayoral Valle Santos, and Eleuterio Vallelado 8. Sample
Tangency Portfolio, Representativeness and Ambiguity: Impact of the Law of
Small Numbers. Ghislain Yanou Part III: Global Dimensions of Corporate
Governance and Risk Management 9. A Theoretical Framework for Voluntary
Corporate Governance. Rodrigo Zeidan 10. Lending Currency Mix of Globalized
Banks: A Potential Risk for Foreign Affiliates via Internal Fund Transfer.
Yuki Masujima 11. Corporate Governance of Banks. Peter O. Mülbert Part IV:
Legal and Regulatory Dimensions of Corporate Governance and Risk Management
12. Corporate Political Spending & Shareholders' Rights: Why the U.S.
Should Adopt the British Approach. Ciara Torres-Spellicy 13. Disclosure
2.0: Leveraging Technology to Address 'Complexity' and Information Failures
in the Financial Crisis. Erik Gerding 14. Data Integrity Preservation and
Identity Theft Prevention: Operational and Strategic Imperatives to Enhance
Shareholder and Consumer Value. Kevin Govern and John Winn 15. Credit
Derivatives and Corporate Governance: A Review of Corporate Theory. P.M.
Vasudev
Performance Effects of Risk Management and Corporate Governance 1.
Managers' Behavior when Governance is Weak. Ralf Steinhauser 2. Stock
Repurchase Programs and Corporate Governance: Ethical Issues and Dilemmas.
Richard McGowan 3. The Role of Enterprise Risk Management in Determining
Audit Fees: Complement or Substitute. Kurt Desender and Esteban Lafuente
4. Performance Based Equity Grants and Corporate Governance Choices. Yu
Flora Kuang and Bo Qin Part II: Theoretical and Experimental Approaches to
Risk Management 5. Board Risk Oversight, Hedging Intensity, and the
Idiosyncratic Risk of U.S. Banks. Kathy Fogel, Yingying Shao, and Timothy
Yeager 6. Tail Dependence of Major U.S. Stocks. Long Kang and Simon Babbs
7. Investors' Cognitive Profile and Herding. Beatriz Fernández, Teresa
Garcia-Merino,Rosa Mayoral Valle Santos, and Eleuterio Vallelado 8. Sample
Tangency Portfolio, Representativeness and Ambiguity: Impact of the Law of
Small Numbers. Ghislain Yanou Part III: Global Dimensions of Corporate
Governance and Risk Management 9. A Theoretical Framework for Voluntary
Corporate Governance. Rodrigo Zeidan 10. Lending Currency Mix of Globalized
Banks: A Potential Risk for Foreign Affiliates via Internal Fund Transfer.
Yuki Masujima 11. Corporate Governance of Banks. Peter O. Mülbert Part IV:
Legal and Regulatory Dimensions of Corporate Governance and Risk Management
12. Corporate Political Spending & Shareholders' Rights: Why the U.S.
Should Adopt the British Approach. Ciara Torres-Spellicy 13. Disclosure
2.0: Leveraging Technology to Address 'Complexity' and Information Failures
in the Financial Crisis. Erik Gerding 14. Data Integrity Preservation and
Identity Theft Prevention: Operational and Strategic Imperatives to Enhance
Shareholder and Consumer Value. Kevin Govern and John Winn 15. Credit
Derivatives and Corporate Governance: A Review of Corporate Theory. P.M.
Vasudev