RM
Risk Management in Financial Firms
This cluster of papers focuses on the various aspects of enterprise risk management, including the use of derivatives, hedging strategies, exchange rate exposure, firm value implications, corporate governance influence, and financial risk assessment. The research explores the relationship between risk management practices and firm performance in the context of finance and business operations.
46,160
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264,384
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- Article (65,429)
- Book Chapter (6,170)
- Dissertation (5,540)
- Preprint (3,379)
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- Open Access (33,739)
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- Удо Бролл (113)
- Kit Pong Wong (72)
- Söhnke M. Bartram (61)
- Gerrit Sarens (60)
- Georges Dionne (60)
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- Risk Management in Financial Firms (87,231)
- Insurance and Financial Risk Management (15,222)
- Auditing, Earnings Management, Governance (10,848)
- Corporate Finance and Governance (10,482)
- Financial Reporting and Valuation Research (5,979)