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Managing Risk and Decision ­Making in Times of ­Economic Distress
Contemporary Studies in Economic and Financial Analysis
By Simon Grima (Edited by), Ercan OEzen (Edited by), Inna Romanova (Edited by)

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Format
Hardback, 248 pages
Published
United Kingdom, 1 March 2022

Managing Risk and Decision Making in Times of Economic Distress adds much needed scholarly analysis of the fledgling decision/control approach, arguing the merits of its empirical content to shed light on the structure of capital contracts and rationale for diversity of objectives.

Underpinning the book's central arguments are questions surrounding the identification and realisation of opportunities during periods of distress or disruption. Although such questions have been the focus of corporate finance, risk management, and financial management studies and literature, within the context of COVID-19 gaps remain unresolved.

Continuity should be a proactive living plan to return to the norm we know, and continuity planning forms an integral part of a risk management strategy. With the future set to be shaped by these many disruptions and humanity's responses to it, critical insights are more important than ever, to ensure and determine progress towards the Sustainable Development Goals and recovering from these economic and social challenges.

Contemporary Studies in Economic and Financial Analysis publishes a series of current and relevant themed volumes within the fields of economics and finance. Both disciplinary and interdisciplinary studies are welcome.

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Product Description

Managing Risk and Decision Making in Times of Economic Distress adds much needed scholarly analysis of the fledgling decision/control approach, arguing the merits of its empirical content to shed light on the structure of capital contracts and rationale for diversity of objectives.

Underpinning the book's central arguments are questions surrounding the identification and realisation of opportunities during periods of distress or disruption. Although such questions have been the focus of corporate finance, risk management, and financial management studies and literature, within the context of COVID-19 gaps remain unresolved.

Continuity should be a proactive living plan to return to the norm we know, and continuity planning forms an integral part of a risk management strategy. With the future set to be shaped by these many disruptions and humanity's responses to it, critical insights are more important than ever, to ensure and determine progress towards the Sustainable Development Goals and recovering from these economic and social challenges.

Contemporary Studies in Economic and Financial Analysis publishes a series of current and relevant themed volumes within the fields of economics and finance. Both disciplinary and interdisciplinary studies are welcome.

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Product Details
EAN
9781801174275
ISBN
180117427X
Dimensions
23.2 x 15.8 x 1.8 centimeters (0.49 kg)

Table of Contents

Chapter 1. Designing Curriculum about Governance and Sustainability in Higher Education: A Case Study; Clinton Cassar
Chapter 2. Sources of Economic Policy Uncertainty in Nigeria: Implications for Africa; Peterson K. Ozili
Chapter 3. Multi-dimensional Modelling for Mapping Project Trade-offs in Construction: A Maltese Perspective; George Dimech, Rebecca Dalli Gonzi, and Alan Wild
Chapter 4. Supply Chain Management Reshaped with Industry 4.0: A Review; Salih Serkan Kaleli and Mehmet Baygin
Chapter 5. Consumer Complaints And Complaint Management In The Tourism Sector; Müjde Aksoy and Özer Yilmaz
Chapter 6. A Review of the Models used by the Universities of the Republic of Kosovo; Hamdi Hoti, Mërgim H. Hoti, Armend Salihu, and Edisona Kurhasku
Chapter 7. Regulation and Protection of Competition in Kosova- Control of Enterprise Concentration; Gani Asllani and Simon Grima
Chapter 8. Effects of COVID-19 Pandemic on Tourists' Travel Behaviour and Patterns; Esat Saçkes
Chapter 9. Destination Choice Behaviour and Tourist’s Travel Behaviour and Patterns; Arzu Gürdoğan
Chapter 10. Sustainability Accounting; Peterson K. Ozili
Chapter 11. Sustainable Heritage Management: A Literature Review; Derya Timucin Hayat and Blend Ibrahim
Chapter 12. Economic and Fiscal Effects of COVID-19 Pandemic: An Evaluation; Oytun Mecik, Ercan Bahtiyar, and Mustafa Karabacak
Chapter 13. Decreasing Carbon Footprint for Sustainable Consumption; Necla Kuduz

About the Author

Simon Grima is the Head of the Insurance Department, Deputy Dean of the Faculty of Economics, Management and Accountancy and an Associate Professor at the University of Malta.

Ercan Özen is Head of the Finance and Banking Department and Deputy Dean in Faculty of Applied Sciences at the University of Uşak, Turkey.

Inna Romānova is a Professor of Finance and the Vice-Dean of the Faculty of Business, Management and Economics at the University of Latvia.

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