Description

Book Synopsis

Challenges destabilize the norm and create distresses and disruptions in, for example, the culture, the technology, regulations, the environmental, etc. that influence the pace of finance and economic activities. This book is a collection of 13 chapters and studies about Insurance and Risk management in response to disruptions caused by social, economic, and environmental challenges to try and stabilize the economy in an effort to ensure sustainability.

Insurance and Risk Management for Disruptions in Social, Economic and Environmental Systems brings together studies from scholars, researchers and professionals with different disciplinary backgrounds to highlight discuss and exchange ideas on these challenges, which may seem a danger, but offer prospects for economic and business development.

Books in the Emerald Studies In Finance, Insurance, And Risk Management series collect quantitative and qualitative studies in areas relating to finance, insurance, and risk management. Subjects of interest may include banking, accounting, auditing, compliance, sustainability, behaviour, management, and business economics.



Table of 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 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

Insurance and Risk Management for Disruptions in

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    A Hardback by Simon Grima, Ercan Özen, Rebecca E. Dalli Gonzi

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      Publisher: Emerald Publishing Limited
      Publication Date: Publication Date: 24/01/2022
      ISBN13: 9781801171403, 978-1801171403
      ISBN10: 1801171408

      Description

      Book Synopsis

      Challenges destabilize the norm and create distresses and disruptions in, for example, the culture, the technology, regulations, the environmental, etc. that influence the pace of finance and economic activities. This book is a collection of 13 chapters and studies about Insurance and Risk management in response to disruptions caused by social, economic, and environmental challenges to try and stabilize the economy in an effort to ensure sustainability.

      Insurance and Risk Management for Disruptions in Social, Economic and Environmental Systems brings together studies from scholars, researchers and professionals with different disciplinary backgrounds to highlight discuss and exchange ideas on these challenges, which may seem a danger, but offer prospects for economic and business development.

      Books in the Emerald Studies In Finance, Insurance, And Risk Management series collect quantitative and qualitative studies in areas relating to finance, insurance, and risk management. Subjects of interest may include banking, accounting, auditing, compliance, sustainability, behaviour, management, and business economics.



      Table of 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 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

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