Description

Book Synopsis

Managing Risk and Decision Making in Times of Economic Distress: Part B adds much needed scholarly analysis of the fledgling decision/control approach, arguing the merits of its empirical content to shed light on the structure of capital contracts and rationale for diversity of objectives.

Underpinning the book’s central arguments are questions surrounding the identification and realisation of opportunities during periods of distress or disruption. Although such questions have been the focus of corporate finance, risk management, and financial management studies and literature, within the context of COVID-19 gaps remain unresolved.

Continuity should be a proactive living plan to return to the norm we know, and continuity planning forms an integral part of a risk management strategy. With the future set to be shaped by these many disruptions and humanity’s responses to it, critical insights are more important than ever, to ensure and determine progress towards the Sustainable Development Goals and recovering from these economic and social challenges.

Contemporary Studies in Economic and Financial Analysis publishes a series of current and relevant themed volumes within the fields of economics and finance. Both disciplinary and interdisciplinary studies are welcome.



Table of Contents

Chapter 1. Macroprudential Policy Contribution to the Post Covid-19 Pandemic Economic Recovery; Victoria Cociug and Larisa Mistrean
Chapter 2. Sustainable Tourism in the Current European Context; Adriana Scrioşteanu, Cătălin Mihail Barbu, and Maria Magdalena Criveanu
Chapter 3. The Path towards International Non-financial Reporting Framework; Daniel Zdolšek, Vita Jagrič, Tjaša Štrukelj, and Sabina Taškar Beloglavec
Chapter 4. Public Policy and Entrepreneurial Activity: Do We have a Winning Tandem? Channels and Conduits; Vătavu Sorana, Teodorescu Delia, Nicolescu Ana-Cristina, Florin Costea, and Lobonț Oana-Ramona
Chapter 5. The Importance of Human Resources Competencies in Organizational Cyber Risk Management; Anca Băndoi, Cătălina Sitnikov, Daniela Dănciulescu, Lucian Mandache, and Ionut Riza
Chapter 6. Sustainability Development assessment and indicators; Claudiu George Bocean, Luminița Popescu, and Adrian-Florin Budică-Iacob
Chapter 7. The Credit Market for Small and Medium Enterprises in the Republic of Moldova; Mistrean Larisa, Bușmachiu Eugenia, and Staver Liliana
Chapter 8. The Role of Digitalization in Reducing Risks and Bridging Regional Economic Welfare Gaps Within a Sustainable Development Framework: The Case of Romania; Graţiela Georgiana Noja, Mirela Cristea, Nicoleta Sîrghi, and Ioana Vădăsan
Chapter 9. The Impact of Information Technologies on Business During the Covid 19 Pandemic Outbreak; Luan Vardari; Qendrim Bytyqi; Ardelin Lumi
Chapter 10. Examining the Effects of Sustainable HRM on Work Wellbeing: The Role of Voice Behaviour and Trust In Management; Rathinasamy Prince, Nitin Simha Vihari, and M.Kameshwar Rao
Chapter 11. Changing Consumer Behaviour During the Pandemic Period: The Rise of Digital Transformation; Bilge Villi
Chapter 12. Estimating the Financial Cycle under Limited Data Availability: Alternative Methods; Kristina Bojare
Chapter 13. An Assessment of the Borsa Istanbul Insurance Index Return Structure: The Markov Regime Switching Model; Ender Baykut and Ercan Özen
Chapter 14. Portfolio Performance of Public Sector General Insurance Companies in India: A Comparative Analysis; Kiran Sood, Navneet Seth, and Simon Grima

Managing Risk and Decision Making in Times of

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    A Hardback by Simon Grima, Ercan Özen, Inna Romānova

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      View other formats and editions of Managing Risk and Decision Making in Times of by Simon Grima

      Publisher: Emerald Publishing Limited
      Publication Date: Publication Date: 28/03/2022
      ISBN13: 9781802629729, 978-1802629729
      ISBN10: 1802629726

      Description

      Book Synopsis

      Managing Risk and Decision Making in Times of Economic Distress: Part B adds much needed scholarly analysis of the fledgling decision/control approach, arguing the merits of its empirical content to shed light on the structure of capital contracts and rationale for diversity of objectives.

      Underpinning the book’s central arguments are questions surrounding the identification and realisation of opportunities during periods of distress or disruption. Although such questions have been the focus of corporate finance, risk management, and financial management studies and literature, within the context of COVID-19 gaps remain unresolved.

      Continuity should be a proactive living plan to return to the norm we know, and continuity planning forms an integral part of a risk management strategy. With the future set to be shaped by these many disruptions and humanity’s responses to it, critical insights are more important than ever, to ensure and determine progress towards the Sustainable Development Goals and recovering from these economic and social challenges.

      Contemporary Studies in Economic and Financial Analysis publishes a series of current and relevant themed volumes within the fields of economics and finance. Both disciplinary and interdisciplinary studies are welcome.



      Table of Contents

      Chapter 1. Macroprudential Policy Contribution to the Post Covid-19 Pandemic Economic Recovery; Victoria Cociug and Larisa Mistrean
      Chapter 2. Sustainable Tourism in the Current European Context; Adriana Scrioşteanu, Cătălin Mihail Barbu, and Maria Magdalena Criveanu
      Chapter 3. The Path towards International Non-financial Reporting Framework; Daniel Zdolšek, Vita Jagrič, Tjaša Štrukelj, and Sabina Taškar Beloglavec
      Chapter 4. Public Policy and Entrepreneurial Activity: Do We have a Winning Tandem? Channels and Conduits; Vătavu Sorana, Teodorescu Delia, Nicolescu Ana-Cristina, Florin Costea, and Lobonț Oana-Ramona
      Chapter 5. The Importance of Human Resources Competencies in Organizational Cyber Risk Management; Anca Băndoi, Cătălina Sitnikov, Daniela Dănciulescu, Lucian Mandache, and Ionut Riza
      Chapter 6. Sustainability Development assessment and indicators; Claudiu George Bocean, Luminița Popescu, and Adrian-Florin Budică-Iacob
      Chapter 7. The Credit Market for Small and Medium Enterprises in the Republic of Moldova; Mistrean Larisa, Bușmachiu Eugenia, and Staver Liliana
      Chapter 8. The Role of Digitalization in Reducing Risks and Bridging Regional Economic Welfare Gaps Within a Sustainable Development Framework: The Case of Romania; Graţiela Georgiana Noja, Mirela Cristea, Nicoleta Sîrghi, and Ioana Vădăsan
      Chapter 9. The Impact of Information Technologies on Business During the Covid 19 Pandemic Outbreak; Luan Vardari; Qendrim Bytyqi; Ardelin Lumi
      Chapter 10. Examining the Effects of Sustainable HRM on Work Wellbeing: The Role of Voice Behaviour and Trust In Management; Rathinasamy Prince, Nitin Simha Vihari, and M.Kameshwar Rao
      Chapter 11. Changing Consumer Behaviour During the Pandemic Period: The Rise of Digital Transformation; Bilge Villi
      Chapter 12. Estimating the Financial Cycle under Limited Data Availability: Alternative Methods; Kristina Bojare
      Chapter 13. An Assessment of the Borsa Istanbul Insurance Index Return Structure: The Markov Regime Switching Model; Ender Baykut and Ercan Özen
      Chapter 14. Portfolio Performance of Public Sector General Insurance Companies in India: A Comparative Analysis; Kiran Sood, Navneet Seth, and Simon Grima

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