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1-6 of 6
Keywords: Risk management
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Journal Articles
International Journal of Emerging Markets (2026) 21 (2): 436–459.
Published: 11 April 2025
... that CDTs have lower tax uncertainty than non-CDTs by increasing risk management awareness and improving the quality of accounting information. This relationship is more pronounced among firms with weaker financial constraints and regions with stronger tax administration. Additionally, under the impact...
Journal Articles
International Journal of Emerging Markets (2023) 18 (6): 1330–1354.
Published: 29 June 2022
... re-use rights only Supply chain data analytics Agility Adaptability COVID-19 Performance Risk management Coronavirus disease 2019 (COVID-19) epidemic has in recent times impacted the supply chain of various goods all around the world (Araz et al., 2020). The repercussions...
Journal Articles
International Journal of Emerging Markets (2022) 17 (9): 2321–2349.
Published: 02 March 2021
... convincing evidence of dynamic liquidity management with an error correction mechanism. The time needed to adjust to a liquidity shock ranges from 2.5 to 3.5 months. The empirical results strongly support the pool of funds and signaling hypotheses, whereas risk management motive appears to have secondary...
Journal Articles
International Journal of Emerging Markets (2024) 19 (6): 1748–1765.
Published: 07 January 2020
... of Islamic banks vs the conventional ones in a dual banking system. Thus, the management of the DCR is an important issue for Islamic banks, since the withdrawal risk could be seen as its direct consequence (Hashem and Abdeljawad, 2018). Risk management Machine learning Deposit variation intensity...
Journal Articles
International Journal of Emerging Markets (2011) 6 (1): 7–16.
Published: 25 January 2011
...Shaheen Borna; Dheeraj Sharma Purpose The purpose of this paper is to investigate the recent global economic downturn. Particularly, the study explores the utilization of the concept of Brownian motion in financial risk management in organizations in the USA. Design/methodology/approach...
Journal Articles
International Journal of Emerging Markets (2007) 2 (4): 335–347.
Published: 02 October 2007
...‐investment risk management practices of European and Indian fund managers, to explore if vijayamathirz techniques differ based on legal system and in developing markets (India), and determine if fund size affects risk management practices. Design/methodology/approach This study analyzes risk management...
