12 February 2019

Special issue published: "Firm Governance and Risk Management"

International Journal of Management and Enterprise Development 18(1/2)

  • Co-movements in volatility of dependency between US dollar and euro: analysing by conditional heteroscedasticity models
  • The risk-based management control system: a stakeholders' perspective to design management control systems
  • Board characteristics, IFRS adoption and voluntary disclosure: evidence from management forecasts accuracy in France
  • To what extent the global financial crisis deteriorated loan quality of US commercial banks?
  • Agency conflicts in French SMEs: are banks shareholders still influent?
  • Political connections, collateral favours and debt access: some Tunisian evidence
  • Does the usage of financial derivatives decrease the systemic risks in the GCC banks? An empirical study
  • The impact of intellectual capital disclosure and corporate governance practices on the cost of finance: Tunisian evidence

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