Risk management is a domain of management which comes to the fore in crisis. This book looks at risk management under crisis conditions in the COVID-19 pandemic context. The …
Penelitian ini menganalisis perdagangan internasional dan faktor-faktor yang memengaruhi perdagangan internasional di Indonesia. Peneliti ini menggunakan metode deskriptif untuk …
G Zatini, A della Porta - … of Fashion Marketing and Management: An …, 2025 - emerald.com
Purpose Researchers have paid limited attention to how the fashion sector has evolved in the years following the pandemic. This study aims to address this gap by providing an …
Private businesses are often entrusted with public contracts, wherein public money is allocated to a private company. This process raises concerns about transparency, even in …
The validity of the Efficient Market Hypothesis (EMH) as an assumption for portfolio optimization in the Mean–Variance (MV) framework under large scale financial crises is …
J Zheng, Z Li, W Ghardallou, X Wei - Resources Policy, 2023 - Elsevier
China has seen its Economic Performance (EPRF) surge in recent years. However, it is in the interests of all the different stakeholders to a sustainable EPRF that does not strain the …
D Heitmann, MAF Chowdhury, MS Islam - The North American Journal of …, 2023 - Elsevier
This study discusses the impact of Covid-19 on important financial performance indicators and risk indicators of US banks using quarterly panel data of the 87 insured US-chartered …
This engaging and accessible introduction to social work encourages reflective learning in preparation for practice. Direct linking of key concepts to professional standards ensures that …
G Puspita - Jurnal Riset Akuntansi Terpadu, 2019 - jurnal.untirta.ac.id
Penelitian ini bertujuan untuk menguji pengaruh Modal Intelektual yang diukur dengan iB- VAIC (Islamic Banking VAIC) dalam perbankan syariah di Indonesia terhadap kinerja …