Showing 641 - 660 results of 895 for search '"risk management"', query time: 0.09s Refine Results
  1. 641

    Risk Assessment of Drought Based on IEAPP-IDM in Qujing, Yunnan Province, China by Menghua Deng, Junfei Chen, Guiyun Liu, Huimin Wang

    Published 2016-01-01
    “…The study can provide scientific reference in drought risk management for Qujing and other places of China.…”
    Get full text
    Article
  2. 642

    The Significance of the 2014 Corporate Governance Code of the Bank of Russia by A. V. Shashkova

    Published 2014-08-01
    “…Corporate Governance Code regulates a number of the most important issues of corporate governance such as shareholders'rights and fair treatment of shareholders; Board of Directors; Corporate Secretary of the Company; system of remuneration of members of the Board of Directors, executive bodies and other key executives of the company; system of risk management and internal control; disclosure of information about the company, the information policy of the company; major corporate actions. …”
    Get full text
    Article
  3. 643

    The application of blockchain with a comparative approach and its impact on risk, flexibility and internal control evaluation by mohammadsadegh aminipoor, HamidReza GholamniaRoshan, azadeh kiapour, Iman Dadashi

    Published 2024-09-01
    “…Overall, the use of blockchain can bring significant improvements in risk management, flexibility and internal control evaluation. …”
    Get full text
    Article
  4. 644

    Trends, contradictions, and patterns of functioning of interregional and inter-municipal cooperation institutions by R. F. Gataullin, E. R. Chuvashaeva

    Published 2025-01-01
    “…Among the patterns in the institutions development it is necessary to define their focus on functioning in the context of horizontal links globalization, growth of development sustainability and population mobility, digitalization and innovativeness, ensuring security on the basis of risk management, which implies legal integration and standards harmonization, intensive exchange of the best projects, activation of local authorities and population in projects implementation. …”
    Get full text
    Article
  5. 645

    Predicting deep-seated landslide displacement on Taiwan's Lushan through the integration of convolutional neural networks and the Age of Exploration-Inspired Optimizer by J.-S. Chou, H.-M. Nguyen, H.-P. Phan, K.-L. Wang

    Published 2025-01-01
    “…This research contributes to developing predictive early warning systems for deep-seated landslide displacement by employing advanced computational models for environmental risk management. The novel framework evaluates machine learning, time series deep learning, and convolutional neural networks (CNNs), identifying the most effective models to be enhanced by the Age of Exploration-Inspired Optimizer (AEIO) algorithm. …”
    Get full text
    Article
  6. 646

    Changements climatiques, changements du littoral et évolution de la vulnérabilité côtière au fil du temps : comparaison de territoires français, canadien et sénégalais by Sebastian Weissenberger, Mélinda Noblet, Steve Plante, Omer Chouinard, Julie Guillemot, Mélanie Aubé, Catherine Meur-Ferec, Élisabeth Michel-Guillou, Ndickou Gaye, Alioune Kane, Coura Kane, Awa Niang, Aichetou Seck

    Published 2016-12-01
    “…In order to account for that duality, theoretical approaches such as the exposition/sensitivity or risk/hazard couples have been developed for the evaluation of climate vulnerability indices or in risk management. Often, these approaches are only implemented in a punctual manner and do not integrate the historical evolution of the territory and of its vulnerability. …”
    Get full text
    Article
  7. 647

    A factor-based framework for stress-testing the Namibian banking sector by Valdemar J. Undji, Johannes P. S. Sheefeni

    Published 2024-10-01
    “…Times of crises underscores the importance of guarding against deteriorations in the quality of loan portfolio through effective credit risk management. The purpose of the study is to examine the credit risk resilience of Namibia’s banking sector and forecast the quality of its loan portfolio. …”
    Get full text
    Article
  8. 648

    Unlocking the diversification benefits of DeFi for ASEAN stock market portfolios: a quantile study by Shoaib Ali, Youssef Manel

    Published 2025-01-01
    “…The optimal weight and hedge ratio estimated using the DCC-GARCH model indicate that DeFi is beneficial for portfolio construction and risk management. The rising trend in dynamic optimal weight and hedge ratio during the COVID-19 pandemic demonstrates that investors should decrease their investments in DeFi and increase hedging costs. …”
    Get full text
    Article
  9. 649
  10. 650

    CRITICAL ANALYSIS OF MAQĀṢIDĪ TAFSĪR ON DISASTER MITIGATION IN THE STORY OF PROPHET LŪṬ: AN EXAMINATION OF THE INTERPRETATION OF Q.S. AL-ḤIJR: 61-74 by Tri Faizah Anggraini

    Published 2025-01-01
    “…This makes maqāṣidi tafsīr bring up a unique perspective of novelty so that the principles of disaster risk management can be deduced for related institutions. …”
    Get full text
    Article
  11. 651

    The role of internal auditors in preventing financial fraud in the Republic of Serbia by Jeremić Nebojša, Jakovljević Nemanja

    Published 2023-01-01
    “…The importance of internal audit as a vital component of corporate governance and risk management was emphasized through a review of relevant literature and consideration of various activities of internal auditors and their role in preventing financial fraud. …”
    Get full text
    Article
  12. 652

    Comparative Analysis of Hybrid Model Performance Using Stacking and Blending Techniques for Student Drop Out Prediction In MOOC by Muhammad Ricky Perdana Putra, Ema Utami

    Published 2024-06-01
    “…As one of the solutions to this problem, machine learning can be utilized as a risk management and early warning system for students who have the potential to drop out. …”
    Get full text
    Article
  13. 653

    Does Investor Sentiment Influence South African ETF Flows During Different Market Conditions? by Paidamoyo Aurleen Shenjere, Sune Ferreira-Schenk, Fabian Moodley

    Published 2025-01-01
    “…Identifying the effect of investor sentiment on ETFs results in ETF portfolios being less affected by changing market conditions by using risk management techniques and diversifying across asset classes and investing methods.…”
    Get full text
    Article
  14. 654

    Cyclone Idai Disaster in Zimbabwe: A New Testament ethical analysis of Matthew 24:37–39 by Lovejoy Chabata

    Published 2025-02-01
    “…The loss of 340 lives, with many others declared missing, displacement and distress more than 200 and 70 000 people, annihilation of agricultural, educational, health and residential infrastructure, all combined to endorse the need for sustainable disaster risk management strategies in Zimbabwe. Matthew 24:37–39 cast the story of Noah who adopted a disaster response framework in the form of an ark, which was going to float above the floods to prevent loss of fauna and human lives. …”
    Get full text
    Article
  15. 655

    A maturity model for assessing sustainable project management knowledge areas: A case study within a logistics firm by Elifcan Göçmen

    Published 2021-12-01
    “…As a result, computational results indicate that risk management dimension with the level 1,4 has the lowest rating of all nine dimensions. …”
    Get full text
    Article
  16. 656

    Ways to improve the forms and methods of increasing the competitiveness of leasing companies in Russia by A. A. Tilov

    Published 2020-04-01
    “…Opportunities for implementation and development of risk management, expansion of the range of leasing services have been reviewed. …”
    Get full text
    Article
  17. 657

    A comprehensive high pure momentum equity timing framework using the Kalman filter and ARIMA forecasting by Tsumbedzo Mashamba, Modisane Seitshiro, Isaac Takaidza

    Published 2024-11-01
    “…Second, as a part of the portfolio's risk management strategy, the Kalman filter was applied to the historical performance of this portfolio. …”
    Get full text
    Article
  18. 658

    Profitability Drivers in European Banks: Analyzing Internal and External Factors in the Post-2009 Financial Landscape by Suzana Laporšek, Barbara Švagan, Mojca Stubelj, Igor Stubelj

    Published 2024-12-01
    “…The results show that profitability is positively associated with a higher capital adequacy, liquidity risk, and income diversification, but not for risk-adjusted profitability ratios. Credit risk, management efficiency, and excessive size have a negative effect on all studied profitability measures. …”
    Get full text
    Article
  19. 659

    Practice implications and recommendations for managing codeine misuse and dependence by Bergin Michael, Norman Ian, Foley Michelle, Harris Richard, Rapca Anna, Rich Eileen, Hout Marie-Claire Van

    Published 2015-12-01
    “…Themes identified relate to raising public and practitioner awareness, risk management, dispensing practices and monitoring and surveillance of codeine. …”
    Get full text
    Article
  20. 660

    Fractal Characteristics of the Spatial Distribution of Mine Earthquake Sources in the Vicinity of a Fault: A Case Study in the Ashele Copper Mine by Congcong Zhao, Shigen Fu, Yinghua Huang

    Published 2024-12-01
    “…However, due to the spatiotemporal specificity of fault occurrence, there are few theoretical and mathematical methods suitable for effective analysis in mine safety risk management. This study aims to introduce fractal theory to characterize the spatiotemporal activity fractal characteristics of induced faults intersecting the mining site and roadway during the mining process of the Ashele copper mine in China. …”
    Get full text
    Article