Risk Management

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Al-Maghzom, Abdullah (United Kingdom)
G22 - Insurance; Insurance Companies, Corporate Finance, Business Ethics, Risk Management
Altuwaijri, Basmah (Saudi Arabia)
Financial Reporting, Corporate Finance, Risk Management, Corporate Governance, Financial Management
G22 - Insurance; Insurance Companies, Risk Management, Corporate Governance
Ariff, Mohamed (Malaysia)
E52 - Monetary Policy (Targets, Instruments, and Effects), F23 - Multinational Firms; International Business, Risk Management
Financial Reporting, Performance management, Risk Management, Sustainability
Financial Reporting, M41 - Accounting, P34 - Finance, Corporate Finance, Risk Management, Banking, Corporate Governance
General Corporate Governance , G32 - Financing Policy; Capital and Ownership Structure, Corporate Finance, Risk Management
G22 - Insurance; Insurance Companies, Risk Management, Corporate Governance, Financial Economics
M41 - Accounting, Corporate Finance, Risk Management, Corporate Governance, Financial Management
M41 - Accounting, Performance management, Risk Management, Corporate Governance, Financial Management
G22 - Insurance; Insurance Companies, Risk Management, Financial Economics
General Corporate Governance , Corporate Social Responsibility, Risk Management
Boulanouar, Zakaria (Saudi Arabia)
E44 - Financial Markets and the Macroeconomy, G22 - Insurance; Insurance Companies, Risk Management
Canil, Jean (Australia)
Executive Remuneration, Corporate Finance, Risk Management
E42 - Monetary Standards and Regimes; Government and the Monetary System, F02 - International Economic Order; Economic Integration: General, G22 - Insurance; Insurance Companies, Risk Management, Financial Economics
E42 - Monetary Standards and Regimes; Government and the Monetary System, SME’s, Risk Management
Behaviour Finance, Risk Management, Corporate Governance
G15 - International Financial Markets, M21 - Business Economics, Risk Management
Debab, Nassima (Kingdom of Bahrain)
General Corporate Governance , M41 - Accounting, Corporate Finance, Risk Management
B22 - Macroeconomics, E42 - Monetary Standards and Regimes; Government and the Monetary System, G15 - International Financial Markets, Business Ethics, Risk Management
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