Insurance and risk management for disruptions in social, economic and environmental systems : decision and control allocations within new domains of risk /: decision and control allocations within new domains of risk. (2022)
- Record Type:
- Book
- Title:
- Insurance and risk management for disruptions in social, economic and environmental systems : decision and control allocations within new domains of risk /: decision and control allocations within new domains of risk. (2022)
- Main Title:
- Insurance and risk management for disruptions in social, economic and environmental systems : decision and control allocations within new domains of risk
- Further Information:
- Note: Edited by Simon Grima, Ercan Özen, Rebecca Dalli Gonzi.
- Editors:
- Grima, Simon
Özen, Ercan
Dalli Gonzi, Rebecca - Contents:
- Chapter 1. Mapping out Cross-Sectoral Collaboration and Multi-Level Governance within Single-use Plastic Policy: An Analysis; Clinton Cassar and Mario Thomas Vassallo Chapter 2. Financial Regulation and Bank Supervision during a Pandemic; Peterson K. Ozili Chapter 3. A Study of Insurance Contracts within the Legal Context of a Small Island Influenced by The Commonwealth, The European Union and The Mediterranean The case of Utmost Good Faith and Insurable Interest; Ramon Mizzi, Andre Farrugia, Ercan Özen, and Simon Grima Chapter 4. Consumer Behavior in the New Economic Reality. Approaches to Personalised Medicine: From Paradigms to Challenges; Artiom Jucov, Liliana Staver, and Larisa Mistrean Chapter 5. Determination of the Sensitivity of Stock Index to Macroeconomic and Psychological Factors by MARS Method; Münevvere Yıldız and Letife Özdemir Chapter 6. Enterprise Risk Management Assessment of Romanian listed companies for Sustainable Development; Camelia–Daniela Hategan, Nicoleta Sirghi, and Ruxandra Curea-Pitorac Chapter 7. The Effects of Capital Structure Decisions on Financial Risk and Failure: A Research on BIST Food Companies; Serdar Yaman and Turhan Korkmaz Chapter 8. Global Impasses in Public Services Provision due to Covid-19 in G-20 Countries; Sevilay Ece Gümüş Özuyar Chapter 9. Implementation of Sustainability; Özlem Tuna Chapter 10. Sustainability Risk Management: A Survey of the Literature; Oya Korkmaz Chapter 11. Financial Institutions' Governance InnovationChapter 1. Mapping out Cross-Sectoral Collaboration and Multi-Level Governance within Single-use Plastic Policy: An Analysis; Clinton Cassar and Mario Thomas Vassallo Chapter 2. Financial Regulation and Bank Supervision during a Pandemic; Peterson K. Ozili Chapter 3. A Study of Insurance Contracts within the Legal Context of a Small Island Influenced by The Commonwealth, The European Union and The Mediterranean The case of Utmost Good Faith and Insurable Interest; Ramon Mizzi, Andre Farrugia, Ercan Özen, and Simon Grima Chapter 4. Consumer Behavior in the New Economic Reality. Approaches to Personalised Medicine: From Paradigms to Challenges; Artiom Jucov, Liliana Staver, and Larisa Mistrean Chapter 5. Determination of the Sensitivity of Stock Index to Macroeconomic and Psychological Factors by MARS Method; Münevvere Yıldız and Letife Özdemir Chapter 6. Enterprise Risk Management Assessment of Romanian listed companies for Sustainable Development; Camelia–Daniela Hategan, Nicoleta Sirghi, and Ruxandra Curea-Pitorac Chapter 7. The Effects of Capital Structure Decisions on Financial Risk and Failure: A Research on BIST Food Companies; Serdar Yaman and Turhan Korkmaz Chapter 8. Global Impasses in Public Services Provision due to Covid-19 in G-20 Countries; Sevilay Ece Gümüş Özuyar Chapter 9. Implementation of Sustainability; Özlem Tuna Chapter 10. Sustainability Risk Management: A Survey of the Literature; Oya Korkmaz Chapter 11. Financial Institutions' Governance Innovation and Credibility Strategy; Tjaša Štrukelj, Sabina Taškar Beloglavec, Daniel Zdolšek, and Vita Jagrič Chapter 12. CSR 4.0 Dimensions in Relation to the Advantages of Industry 4.0; Anca Băndoi, Cătălina Sitnikov, Anca Tănasie, and Ionut Riza Chapter 13. European Insurance Market Development under the Economic Welfare: Advanced Econometric Approaches; Mirela Cristea, Grațiela Georgiana Noja, Silviu-Valentin Cârstina, and Elena Sorina Caragiani. … (more)
- Publisher Details:
- United Kingdom : Emerald Publishing
- Publication Date:
- 2022
- Extent:
- 1 online resource
- Subjects:
- 368
Risk (Insurance)
Risk management
Economic stabilization - Languages:
- English
- ISBNs:
- 9781801171410
9781801171397 - Related ISBNs:
- 9781801171403
- Notes:
- Note: Description based on CIP data; resource not viewed.
- Access Rights:
- Legal Deposit; Only available on premises controlled by the deposit library and to one user at any one time; The Legal Deposit Libraries (Non-Print Works) Regulations (UK).
- Access Usage:
- Restricted: Printing from this resource is governed by The Legal Deposit Libraries (Non-Print Works) Regulations (UK) and UK copyright law currently in force.
- View Content:
- Available online (eLD content is only available in our Reading Rooms) ↗
- Physical Locations:
- British Library HMNTS - ELD.DS.666149
- Ingest File:
- 09_015.xml