Showing 561 - 580 results of 895 for search '"risk management"', query time: 0.10s Refine Results
  1. 561

    Stochastic Optimal Control for Dynamic Pricing and Production in Fashion Retailing: An Economic Sustainability Approach by Xin Wang, Qi Chen

    Published 2024-01-01
    “…Key findings include the following: (1) Dynamic pricing and responsive production strategies outperform static pricing in terms of expected discounted profit under various market conditions. (2) Optimal dynamic prices exhibit a declining trend over the product lifecycle, aligning with observed practices in fast fashion. (3) The optimal production rate adapts to current inventory levels and market conditions, balancing the trade-off between stockouts and holding costs. (4) The model demonstrates robustness to variations in price elasticity, providing a flexible decision framework for diverse fashion market segments. (5) Extreme demand volatility reduces the economic benefits of dynamic policies, highlighting the need for additional risk management strategies. This research contributes to sustainable operations’ literature by integrating pricing and production decisions under uncertainty, offering theoretically grounded and practical insights for fashion retailers to enhance profitability and reduce waste.…”
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  2. 562

    MODERATING EFFECT OF RISK GOVERNANCE COMMITTEE BETWEEN BOARD INDEPENDENCE AND FINANCIAL PERFORMANCE AMONG NIGERIAN LISTED FINANCIAL INSTITUTIONS by Ibrahim D. ABDULLAHI, Bala Ahmed AHMED

    Published 2023-11-01
    “… The risk governance committee establishes risk strategy, reviews risk reports and provides enterprise risk management advice to board members. Though research on board independence is has established the influence on firms’ financial performance, there are concerns as to its extent. …”
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  3. 563

    Time-Frequency Connectedness between Green Bonds and Conventional Financial Markets: Evidence from China by Yingliang Chen, Guifen Shi, Guanchong Hou

    Published 2024-01-01
    “…These findings offer insights for portfolio and risk management.…”
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    Article
  4. 564

    Geoelectrical Tomography as an Operative Tool for Emergency Management of Landslide: An Application in Basilicata Region, Italy by G. Colangelo, A. Perrone

    Published 2012-01-01
    “…The information obtained by the application of this indirect technique appeared to be particularly useful for end users involved in the risk management. The high resolution of the 2D ERT technique allowed the detection of possible sliding surfaces and the characterization of high water content areas in which the increase of the saturation degree and of pore pressures could cause a weakening of the slopes and a reactivation of the movement. …”
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  5. 565

    Compliance Risk Assessment in the Banking Sector: Application of a Novel Pairwise Comparison-Based PRISM Method by Ferenc Bognár, Balázs Szentes, Petra Benedek

    Published 2023-01-01
    “…Compliance risk assessment is an evolving field in theory and practice. Compliance risk management is complex and highly dependent on the decisions of experts. …”
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  6. 566

    MARKET INTELLIGENCE – A CONCEPTUAL APPROACH by Bogdan Gregor, Magdalena Kalińska-Kula

    Published 2016-05-01
    “…Nowadays market intelligence in many companies has reached a position that compares to other professional management support functions, such as risk management or public relations. The aim of the article was to provide an explanation of the essence of market intelligence as a concept that plays a crucial role in generating valuable knowledge about the market, building competitiveness of enterprises and achieving growth in a specific market. …”
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  7. 567

    Warming Permafrost in the Western Alps: A Further Evidence of Elevation Dependent Warming? by Paolo Pogliotti, Edoardo Cremonese, Umberto Morra di Cella

    Published 2023-10-01
    “…In steep rockwalls warming trends at the rock surface are significant only on the north-facing faces where values are on average +0.42°C/10y at elevations above 4000 m.The present study aims to provide a snapshot on the current thermal evolution of permafrost in the north-western Alps as well as consistent and useful information for risk management. Taking advantage of this analysis, the study also aims to highlight as the temperature measures in permafrost could contribute to the elevation-dependent-warming debate.…”
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  8. 568

    Evolution of Urban Resilience from a Multiscale Perspective: Evidence from Five Provinces in Northwest China by Hainan Yang, Huizhen Su, Liangjie Yang

    Published 2023-01-01
    “…As a new idea of urban risk management, building resilient cities with the ability to resist, eliminate, and adapt to uncertain risks is of great importance to mitigate risk impacts and promote sustainable urban development. …”
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  9. 569

    Regards sur le séisme de Mexico de septembre 2017 : permanences et décalages par rapport à la catastrophe de 1985 by Jean-François Valette

    Published 2018-04-01
    “…Then, the factors of the "best resistance" of 2017 will be observed, in particular in terms of risk management policies. Finally, we will show how the urban dynamics of the last decades raise issues of vulnerabilities and exacerbated inequalities, highlighted by the recent earthquake.…”
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  10. 570

    Pluvial flood impacts and policyholder responses throughout the United States by Benjamin Nelson-Mercer, Taeho Kim, Vinh Ngoc Tran, Valeriy Ivanov

    Published 2025-01-01
    “…Our study highlights regions facing heightened pluvial flood risks and underscores the critical need for enhanced consideration of pluvial inundation within risk management frameworks.…”
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  11. 571

    Does the crisis period affect the properties of various financial assets: evidence from G7, BRIC, GCC countries by Marwa Eleuch, Nada Souissi, Mourad Mroua

    Published 2025-12-01
    “…This research provides critical insights into asset behavior under extreme market volatility, offering practical implications for investment strategies and risk management by highlight the strategic decisions for asset allocation during uncertain financial periods.…”
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  12. 572

    Developing a Ship Collision Risk Assessment Model with Internal and External Factors: Focused on South Korea Maritime Environment by Sangwon Park, Jiho Yeo, Kyonghan Lee

    Published 2024-01-01
    “…The resulting risk map highlighted high-risk areas, offering valuable insights for risk management and policy formulation. This model provides a foundational framework for maritime safety policy decisions, representing a significant contribution to collision risk assessment methodologies.…”
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  13. 573

    Une vulnérabilité délibérément acceptée par les pouvoirs publics ? Extraction du charbon et inondations dans la vallée de la Haine, 1880-1940 by Kevin Troch

    Published 2016-12-01
    “…How to explain this “disjunction of responsibility” in the risk management to flooding in the Haine valley ? The purpose of this article is to understand how collieries have managed to convince government that subsidence engendered by their works doesn’t play the main role in the floods hitting the Borinage, mainly by studying the acts and discourses of the Committee of the Haine, a pressure group created by the collieries in 1925 following the disastrous floods of winters 1924-1926.…”
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  14. 574

    An Incentive Mechanism Model of Credit Behavior of SMEs Based on the Perspective of Credit Default Swaps by Shenghong Wu, Pei Mu, Jiaxian Shen, Wenyi Wang

    Published 2020-01-01
    “…The rapid development of credit default swap (CDS) market has changed the manner of credit risk management of banks to some extent and has had a new influence on the bank-enterprise credit model. …”
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  15. 575

    Implementation of Pension Funds Survival Strategies in a Hyperinflationary Economy. A Case of Pepukai Assurance Company by Munashe T. ZIYAMBI, Newman WADESANGO

    Published 2024-12-01
    “…Although the company’s strategies such as effective risk management, diversification, currency hedging, skilled management, and client education were implemented, their efficacy was undermined by current hyperinflation. …”
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  16. 576

    Young investors, precariousness, and the maturing asset economy by Monique de Jong McKenzie

    “…This precariousness emerges from their material and discursive context that includes a retreating welfare state, wage stagnation, limited employment pathways, and individualised risk management. This affective atmosphere of precariousness pushes young people to seek stability and security wherever they can, and for young investors, this is found in financial assets.…”
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  17. 577

    The persistent global disparities in environmental and climate communication scholarship by Sohinee Bera, Amanda Vilchez, Roxana M. Muenster

    Published 2025-01-01
    “…While articles across the Global North and the Global South focused on climate change and adaptation, articles about the Global South more prominently focused on disasters, vulnerability, and risk management.ConclusionThe review highlights the need for greater diversity in environmental and climate communication publishing and suggests consistent geographic naming practices in titles to achieve a more inclusive academy.…”
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  18. 578

    Soil Loss Assessment in Western High Atlas of Morocco: Beni Mohand Watershed Study Case by Latifa Bou-imajjane, Mhamed Alaeddine Belfoul

    Published 2020-01-01
    “…These findings will provide land use planners baseline for land use and risk management and will provide data within the Moroccan Western High Atlas Mountains.…”
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  19. 579

    Forecasting Return Volatility of the CSI 300 Index Using the Stochastic Volatility Model with Continuous Volatility and Jumps by Xu Gong, Zhifang He, Pu Li, Ning Zhu

    Published 2014-01-01
    “…Besides, the SV-CJ model has an obvious advantage over the SV and SV-RV model as to the prediction accuracy of the return volatility, and it is more suitable for the research concerning the problems of financial practice such as the financial risk management.…”
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  20. 580

    Psychological factors of economic decision-making process by E. S. Mishenin

    Published 2024-12-01
    “…The importance of considering general psychological regularities, a manager’s personal characteristics, risk management, and a systematic approach application has been studied. …”
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