13 August 2013

Special issue: "Lessons from the Crisis: Banking, Executive Compensation and Risk Management"

International Journal of Management Practice 6(3) 2013
  • The supervision of strategy and risk in German two-tier boards: lessons learned from the crisis
  • How do securities dealers trade in the Taiwan stock market? Evidence from the financial crisis of 2008
  • On the appraisal of LVaR throughout the close-out period: an investment management outlook from recent global financial crisis
  • Financial market returns before, during and after five European banking crises

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