Financial Analysis, Corporate Finance and Risk Management
This reprint offers a comprehensive exploration of contemporary financial challenges, bringing together eighteen high-quality research contributions. It covers diverse topics such as corporate debt patterns, earnings quality in small- and medium-sized enterprises, and the role of governance structur...
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| Format: | Online |
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| Language: | English |
| Published: |
MDPI - Multidisciplinary Digital Publishing Institute
2025
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| Online Access: | ONIX_20250812T110751_9783725836901_134 |
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| _version_ | 1869523116928008192 |
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| collection | Directory of Open Access Books |
| description | This reprint offers a comprehensive exploration of contemporary financial challenges, bringing together eighteen high-quality research contributions. It covers diverse topics such as corporate debt patterns, earnings quality in small- and medium-sized enterprises, and the role of governance structures in financial decision-making. Additionally, it delves into the topics of advanced risk management techniques, financial sustainability, and the integration of technological innovations, including artificial intelligence and machine learning. Designed for researchers, professionals, and policymakers, this reprint provides valuable insights into the evolving landscape of corporate finance and risk management practices. |
| format | Online |
| id | doab-20.500.12854ir-165378 |
| institution | Directory of Open Access Books |
| language | eng |
| publishDate | 2025 |
| publishDateRange | 2025 |
| publishDateSort | 2025 |
| publisher | MDPI - Multidisciplinary Digital Publishing Institute |
| publisherStr | MDPI - Multidisciplinary Digital Publishing Institute |
| record_format | ojs |
| spelling | doab-20.500.12854ir-1653782025-08-12T09:26:02Z Financial Analysis, Corporate Finance and Risk Management Santos, Eulália Mota Oliveira, Margarida Freitas DeFi protocol simulation crypto market risk historical data earnings management discretionary accruals SMEs’ debt non-linear association model uncertainty multi-attribute utility ESG modeling shareholders directors management financial performance fintech conflict of interest operational risk risk management risk factors risk assessment uncertainty reduction financial management financing strategies credit evaluation financial structure alternative forms of financing capital structure government borrowing crowding-in effect theory institutional economics framework formal economy risk Lebanon sustainable development shadow economy corporate finance financial risk accounting comparability financial reporting key risk indicators key performance indicators performance management financial stability political factors product diversification strategy organizational flexibility cost behaviour decision making cost stickiness managerial overconfidence machine learning credit risk modelling missing data generative adversarial networks personal remittances FDI sustainability development economics credit consortia SARS-CoV-2 pandemic bank–firm relationship SMEs mortgage servicing market securitization information asymmetry test parametric model nonparametric model kernel estimation instrumental variable causality worker cooperative dividends wages cooperative shares employment relation free-riding board gender diversity debt structure corporate financing Tehran Stock Exchange n/a thema EDItEUR::P Mathematics and Science::PS Biology, life sciences This reprint offers a comprehensive exploration of contemporary financial challenges, bringing together eighteen high-quality research contributions. It covers diverse topics such as corporate debt patterns, earnings quality in small- and medium-sized enterprises, and the role of governance structures in financial decision-making. Additionally, it delves into the topics of advanced risk management techniques, financial sustainability, and the integration of technological innovations, including artificial intelligence and machine learning. Designed for researchers, professionals, and policymakers, this reprint provides valuable insights into the evolving landscape of corporate finance and risk management practices. 2025-08-12T09:25:59Z 2025-08-12T09:25:59Z 2025 book ONIX_20250812T110751_9783725836901_134 9783725836901 9783725836895 https://directory.doabooks.org/handle/20.500.12854/165378 eng image/jpeg Attribution 4.0 International https://mdpi.com/books https://mdpi.com/books/pdfview/book/10729 MDPI - Multidisciplinary Digital Publishing Institute 10.3390/books978-3-7258-3689-5 10.3390/books978-3-7258-3689-5 46cabcaa-dd94-4bfe-87b4-55023c1b36d0 9783725836901 9783725836895 420 open access |
| spellingShingle | DeFi protocol simulation crypto market risk historical data earnings management discretionary accruals SMEs’ debt non-linear association model uncertainty multi-attribute utility ESG modeling shareholders directors management financial performance fintech conflict of interest operational risk risk management risk factors risk assessment uncertainty reduction financial management financing strategies credit evaluation financial structure alternative forms of financing capital structure government borrowing crowding-in effect theory institutional economics framework formal economy risk Lebanon sustainable development shadow economy corporate finance financial risk accounting comparability financial reporting key risk indicators key performance indicators performance management financial stability political factors product diversification strategy organizational flexibility cost behaviour decision making cost stickiness managerial overconfidence machine learning credit risk modelling missing data generative adversarial networks personal remittances FDI sustainability development economics credit consortia SARS-CoV-2 pandemic bank–firm relationship SMEs mortgage servicing market securitization information asymmetry test parametric model nonparametric model kernel estimation instrumental variable causality worker cooperative dividends wages cooperative shares employment relation free-riding board gender diversity debt structure corporate financing Tehran Stock Exchange n/a thema EDItEUR::P Mathematics and Science::PS Biology, life sciences Financial Analysis, Corporate Finance and Risk Management |
| title | Financial Analysis, Corporate Finance and Risk Management |
| title_full | Financial Analysis, Corporate Finance and Risk Management |
| title_fullStr | Financial Analysis, Corporate Finance and Risk Management |
| title_full_unstemmed | Financial Analysis, Corporate Finance and Risk Management |
| title_short | Financial Analysis, Corporate Finance and Risk Management |
| title_sort | financial analysis corporate finance and risk management |
| topic | DeFi protocol simulation crypto market risk historical data earnings management discretionary accruals SMEs’ debt non-linear association model uncertainty multi-attribute utility ESG modeling shareholders directors management financial performance fintech conflict of interest operational risk risk management risk factors risk assessment uncertainty reduction financial management financing strategies credit evaluation financial structure alternative forms of financing capital structure government borrowing crowding-in effect theory institutional economics framework formal economy risk Lebanon sustainable development shadow economy corporate finance financial risk accounting comparability financial reporting key risk indicators key performance indicators performance management financial stability political factors product diversification strategy organizational flexibility cost behaviour decision making cost stickiness managerial overconfidence machine learning credit risk modelling missing data generative adversarial networks personal remittances FDI sustainability development economics credit consortia SARS-CoV-2 pandemic bank–firm relationship SMEs mortgage servicing market securitization information asymmetry test parametric model nonparametric model kernel estimation instrumental variable causality worker cooperative dividends wages cooperative shares employment relation free-riding board gender diversity debt structure corporate financing Tehran Stock Exchange n/a thema EDItEUR::P Mathematics and Science::PS Biology, life sciences |
| topic_facet | DeFi protocol simulation crypto market risk historical data earnings management discretionary accruals SMEs’ debt non-linear association model uncertainty multi-attribute utility ESG modeling shareholders directors management financial performance fintech conflict of interest operational risk risk management risk factors risk assessment uncertainty reduction financial management financing strategies credit evaluation financial structure alternative forms of financing capital structure government borrowing crowding-in effect theory institutional economics framework formal economy risk Lebanon sustainable development shadow economy corporate finance financial risk accounting comparability financial reporting key risk indicators key performance indicators performance management financial stability political factors product diversification strategy organizational flexibility cost behaviour decision making cost stickiness managerial overconfidence machine learning credit risk modelling missing data generative adversarial networks personal remittances FDI sustainability development economics credit consortia SARS-CoV-2 pandemic bank–firm relationship SMEs mortgage servicing market securitization information asymmetry test parametric model nonparametric model kernel estimation instrumental variable causality worker cooperative dividends wages cooperative shares employment relation free-riding board gender diversity debt structure corporate financing Tehran Stock Exchange n/a thema EDItEUR::P Mathematics and Science::PS Biology, life sciences |
| url | ONIX_20250812T110751_9783725836901_134 |