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Risk management and corporate governance / / edited by Abol Jalilvand and A.G. Malliaris
Risk management and corporate governance / / edited by Abol Jalilvand and A.G. Malliaris
Edizione [1st ed.]
Pubbl/distr/stampa New York : , : Routledge, , 2012
Descrizione fisica 1 online resource (495 p.)
Disciplina 658.15/5
Altri autori (Persone) JalilvandAbol
MalliarisA. G
Collana Routledge advances in management and business studies
Soggetto topico Risk management
Corporate governance
Soggetto genere / forma Electronic books.
ISBN 1-283-59089-1
9786613903341
0-203-80498-8
1-136-64491-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Risk Management and Corporate Governance; Copyright; Contents; List of Figures; List of Tables; Preface; Introduction; PART I The Performance Effects of Risk Management and Corporate Governance; 1 The Role of Enterprise Risk Management in Determining Audit Fees: Complement or Substitute; 2 Performance Based Equity Grants and Corporate Governance Choices; 3 A Theoretical Framework for Voluntary Corporate Governance; 4 Managers' Behavior When Governance Is Weak; 5 Stock Repurchase Programs and Corporate Governance: Ethical Issues and Dilemmas
PART II Theoretical and Experimental Approaches to Risk Management6 Board Risk Oversight, Hedging Intensity, and the Idiosyncratic Risk of U.S. Banks; 7 Tail Dependence of Major U.S. Stocks; 8 Investors' Cognitive Profile and Herding; 9 Sample Tangency Portfolio, Representativeness, and Ambiguity: Impact of the Law of Small Numbers; PART III Legal and Regulatory Dimensions of Corporate Governance and Risk Management; 10 Corporate Governance of Banks; 11 Disclosure 2.0: Leveraging Technology to Address "Complexity" and Information Failures in the Financial Crisis
12 Data Integrity Preservation and Identity Theft Prevention: Operational and Strategic Imperatives to Enhance Shareholder and Consumer Value13 Credit Derivatives and Corporate Governance: A Review of Corporate Theory; 14 Lending Currency Mix of Globalized Banks: A Potential Risk for Foreign Affiliates via Internal Fund Transfer; 15 Corporate Political Spending and Shareholders' Rights: Why the U.S. Should Adopt the British Approach; Contributors; Index
Record Nr. UNINA-9910465249703321
New York : , : Routledge, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Risk management and corporate governance / / edited by Abol Jalilvand and A.G. Malliaris
Risk management and corporate governance / / edited by Abol Jalilvand and A.G. Malliaris
Edizione [1st ed.]
Pubbl/distr/stampa New York : , : Routledge, , 2012
Descrizione fisica 1 online resource (495 p.)
Disciplina 658.15/5
Altri autori (Persone) JalilvandAbol
MalliarisA. G
Collana Routledge advances in management and business studies
Soggetto topico Risk management
Corporate governance
ISBN 1-136-64490-3
1-283-59089-1
9786613903341
0-203-80498-8
1-136-64491-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Risk Management and Corporate Governance; Copyright; Contents; List of Figures; List of Tables; Preface; Introduction; PART I The Performance Effects of Risk Management and Corporate Governance; 1 The Role of Enterprise Risk Management in Determining Audit Fees: Complement or Substitute; 2 Performance Based Equity Grants and Corporate Governance Choices; 3 A Theoretical Framework for Voluntary Corporate Governance; 4 Managers' Behavior When Governance Is Weak; 5 Stock Repurchase Programs and Corporate Governance: Ethical Issues and Dilemmas
PART II Theoretical and Experimental Approaches to Risk Management6 Board Risk Oversight, Hedging Intensity, and the Idiosyncratic Risk of U.S. Banks; 7 Tail Dependence of Major U.S. Stocks; 8 Investors' Cognitive Profile and Herding; 9 Sample Tangency Portfolio, Representativeness, and Ambiguity: Impact of the Law of Small Numbers; PART III Legal and Regulatory Dimensions of Corporate Governance and Risk Management; 10 Corporate Governance of Banks; 11 Disclosure 2.0: Leveraging Technology to Address "Complexity" and Information Failures in the Financial Crisis
12 Data Integrity Preservation and Identity Theft Prevention: Operational and Strategic Imperatives to Enhance Shareholder and Consumer Value13 Credit Derivatives and Corporate Governance: A Review of Corporate Theory; 14 Lending Currency Mix of Globalized Banks: A Potential Risk for Foreign Affiliates via Internal Fund Transfer; 15 Corporate Political Spending and Shareholders' Rights: Why the U.S. Should Adopt the British Approach; Contributors; Index
Record Nr. UNINA-9910791901903321
New York : , : Routledge, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Risk management and corporate governance / / edited by Abol Jalilvand and A.G. Malliaris
Risk management and corporate governance / / edited by Abol Jalilvand and A.G. Malliaris
Edizione [1st ed.]
Pubbl/distr/stampa New York : , : Routledge, , 2012
Descrizione fisica 1 online resource (495 p.)
Disciplina 658.15/5
Altri autori (Persone) JalilvandAbol
MalliarisA. G
Collana Routledge advances in management and business studies
Soggetto topico Risk management
Corporate governance
ISBN 1-136-64490-3
1-283-59089-1
9786613903341
0-203-80498-8
1-136-64491-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Risk Management and Corporate Governance; Copyright; Contents; List of Figures; List of Tables; Preface; Introduction; PART I The Performance Effects of Risk Management and Corporate Governance; 1 The Role of Enterprise Risk Management in Determining Audit Fees: Complement or Substitute; 2 Performance Based Equity Grants and Corporate Governance Choices; 3 A Theoretical Framework for Voluntary Corporate Governance; 4 Managers' Behavior When Governance Is Weak; 5 Stock Repurchase Programs and Corporate Governance: Ethical Issues and Dilemmas
PART II Theoretical and Experimental Approaches to Risk Management6 Board Risk Oversight, Hedging Intensity, and the Idiosyncratic Risk of U.S. Banks; 7 Tail Dependence of Major U.S. Stocks; 8 Investors' Cognitive Profile and Herding; 9 Sample Tangency Portfolio, Representativeness, and Ambiguity: Impact of the Law of Small Numbers; PART III Legal and Regulatory Dimensions of Corporate Governance and Risk Management; 10 Corporate Governance of Banks; 11 Disclosure 2.0: Leveraging Technology to Address "Complexity" and Information Failures in the Financial Crisis
12 Data Integrity Preservation and Identity Theft Prevention: Operational and Strategic Imperatives to Enhance Shareholder and Consumer Value13 Credit Derivatives and Corporate Governance: A Review of Corporate Theory; 14 Lending Currency Mix of Globalized Banks: A Potential Risk for Foreign Affiliates via Internal Fund Transfer; 15 Corporate Political Spending and Shareholders' Rights: Why the U.S. Should Adopt the British Approach; Contributors; Index
Record Nr. UNINA-9910825687203321
New York : , : Routledge, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui