Browsing by Subject Risk management

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Showing results 25 to 44 of 175 < previous   next >
Issue DateTitleAuthor(s)
2015Challenges facing bank in financing international trade : from an Islamic perspectiveMuhammad, Mohd Zulkifli; Amin, Hanudin; Anderson, Alex; Chong, Rosita
2013The changing role of the Maltese professional accountant in the financial services industryZammit, Silvana (2013)
2014A code of good governance for trusts and trustees : analysis and proposalPortanier, Reuben
2017A comparative analysis of different stress testing frameworks for assessing risks in the banking sectorSant, Bernice
2017Consequences of going concern opinion for firms and capital market with accounting firm size as moderation variableHapsoro, Dody
2005Consolidated supervision in banking regulationBorg, Brian (2005)
2017Contrary to the efficient market hypothesis, can the management of technical analysis generate profits in the foreign exchange markets?Wismayer, Karl
2021Coronary risk reduction intervention for siblings and offspring of patients with premature coronary heart disease : the CRISO study protocol for a randomised controlled pilot studyMifsud, Justin Lee; Stephenson, John; Astin, Felicity; Galea, Joseph
2011The cost of implementing the Solvency II directive for Maltese non-life insurance companiesFalzon, Clive
2012Creating a risk management plan for the local UNESCO world heritage sites managed by Heritage Malta : an evaluation of the current practices and the possible way forwardGalea, Andrew
2011Credit default swaps : tools for risk management or speculation?Galea, Julian
2022Credit policy of commercial banks in EU and the asset quality of non-financial corporate loan portfolio in 2009-2021Kosztowniak, Aneta
2015Credit risk and credit risk mitigation : a study on European banksGalea, Christabelle
2003Critical analysis of steel construction projects (a study in risk analysis)Barbara, Joe (2003)
2021A critical analysis of the application of the risk-based approach to anti-money launderingPace, Kurt (2021)
2023The crucial macroeconomic and microeconomic determinants of retail and corporate credit risksFarag, Karim; Kassem, Taha; Ramzy, Yasmine
2022-10Current use of the risk register to integrate strategy and risk- and performance management : a case of a University of Technology in South AfricaSmidt, Louis; Pretorius, Cindy; van der Nest, D. P.
2019The Dali model in risk-management practice : the case of financial services firmsDalli Gonzi, Rebecca; Grima, Simon; Kizilkaya, Murat; Spiteri, Jonathan V.
2021Default risk of listed companies in the context of the threat to commodity markets in the times of COVID-19 pandemicSzturo, Marek; Włodarczyk, Bogdan; Szydłowski, Konrad; Wojtowicz, Karol; Pieńkowska-Kamieniecka, Sylwia; Miciuła, Ireneusz
2021Designing a model for testing the effectiveness of a regulation : the case of DORA for insurance undertakingsGrima, Simon; Marano, Pierpaolo