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OverviewFinancial risk management has become increasingly important in the last years and a profound understanding of this subject is vital for managers, practitioners, investors and students of finance and related areas. This book provides the major trends regarding research on financial risk management, as well as the practices of different countries and economies. It is a compilation of the state of the art, new trends, and theoretical and empirical studies on the domain of enterprise risk. It is a critical reference source that discusses the financial instruments firms use to manage the different kind of financial risks, such as interest rate risk, corporate risk, credit risk, liquidity, and default risk. This book focuses on international risk management practices, and its relationship to firms' performance, and other dimensions of companies. It will present research on topics such as several types of financial risk, management of risk, hedging strategies, corporate governance and risk management, and behavioral finance and risk, and more. It is ideal for regulatory authorities, accountants, managers, academics, students, and researchers seeking coverage on the theoretical, empirical, and experimental studies that relate to the different themes in these global subjects. Full Product DetailsAuthor: Mara Madaleno , Elisabete Vieira , Nicoleta B?rbu??-Mi?uPublisher: IGI Global Imprint: Business Science Reference Weight: 0.633kg ISBN: 9781799886099ISBN 10: 1799886093 Pages: 315 Publication Date: 30 January 2022 Audience: Professional and scholarly , Professional & Vocational Format: Hardback Publisher's Status: Active Availability: Manufactured on demand We will order this item for you from a manufactured on demand supplier. Table of ContentsReviewsAuthor InformationMara Madaleno, GOVCOPP, DEGEIT, University of Aveiro, Portugal Elisabete Vieira, ISCA-UA, Portugal Nicoleta B?rbu??-Mi?u, Universidade de Aveiro, Portugal Tab Content 6Author Website:Countries AvailableAll regions |