Full metadata record
| DC Field | Value | Language |
|---|---|---|
| dc.contributor.author | Vieira E. | |
| dc.contributor.author | Madaleno M. | |
| dc.contributor.author | Barbuta-Misu N. | |
| dc.coverage.spatial | banks | |
| dc.coverage.spatial | Big Data | |
| dc.coverage.spatial | financial risk analysis | |
| dc.coverage.spatial | percieved risk theory | |
| dc.coverage.spatial | risk management | |
| dc.coverage.spatial | анализ финансовых рисков | |
| dc.coverage.spatial | банки | |
| dc.coverage.spatial | большие данные | |
| dc.coverage.spatial | теория восприятия рисков | |
| dc.coverage.spatial | управление рисками | |
| dc.date | 2022 | |
| dc.date.accessioned | 2025-11-28T08:09:03Z | - |
| dc.date.available | 2025-11-28T08:09:03Z | - |
| dc.date.issued | 2022 | |
| dc.identifier.identifier | 3137357 | |
| dc.identifier.citation | Handbook of Research on New Challenges and Global Outlooks in Financial Risk Management / editors E. Vieira, M. Madaleno, N. Barbuta-Misu. - Hershey PA : Business Science Reference, 2022. - 1 file (14,8 Mb) (294 p.). - ISBN = 9781799886099, 9781799886112, 9781799886129. - Текст : электронный | |
| dc.identifier.isbn | 9781799886099 | |
| dc.identifier.isbn | 9781799886112 | |
| dc.identifier.isbn | 9781799886129 | |
| dc.identifier.uri | http://repo.ssau.ru/jspui/handle/123456789/59598 | - |
| dc.description.abstract | The book examines the financial instruments used by firms to manage various types of financial risks and risk management methods in various countries. An international approach to risk management is considered, taking into account the latest experience in risk management in the context of the COVID-19 pandemic, as well as topics such as bank stability, environmental assets, and perceived risk theory. The collection is a valuable source of information for regulators, accountants, managers, students, research scientists, graduate students, teachers and practitioners. | |
| dc.description.abstract | В книге рассматриваются финансовые инструменты, используемые фирмами для управления различными видами финансовых рисков, и методы управления рисками в различных странах. Рассмотрен международный подход к управлению рисками с учетом новейшего опыта управления рисками в условиях пандемии COVID-19, а также такие темы, как стабильность банков, экологические активы и теория предполагаемого риска. Сборник является ценным источником информации для регулирующих органов, бухгалтеров, менеджеров, студентов, ученых-исследователей, аспирантов, преподавателей и практиков. | |
| dc.description.abstract | Используемые программы Adobe Acrobat | |
| dc.language | eng | |
| dc.publisher | Business Science Reference | |
| dc.subject | banks | |
| dc.subject | Big Data | |
| dc.subject | financial risk analysis | |
| dc.subject | percieved risk theory | |
| dc.subject | risk management | |
| dc.subject | анализ финансовых рисков | |
| dc.subject | банки | |
| dc.subject | большие данные | |
| dc.subject | теория восприятия рисков | |
| dc.subject | управление рисками | |
| dc.subject.rubbk | У526.210-21 | |
| dc.subject.rugasnti | 06.39 | |
| dc.title | Handbook of Research on New Challenges and Global Outlooks in Financial Risk Management | |
| dc.type | Text | |
| local.identifier.olduri | http://repo.ssau.ru/handle/eBooks/Handbook-of-Research-on-New-Challenges-and-Global-Outlooks-in-Financial-Risk-Management-110230 | |
| local.identifier.olduri | http://repo.ssau.ru/handle/eBooks/Handbook-of-Research-on-New-Challenges-and-Global-Outlooks-in-Financial-Risk-Management-110230 | |
| Appears in Collections: | eBooks | |
Files in This Item:
| File | Size | Format | |
|---|---|---|---|
| 3137357.pdf | 15.25 MB | Adobe PDF | View/Open Request a copy |
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