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dc.contributor.authorPolizzi , Salvatore-
dc.date.accessioned2024-12-20T02:53:42Z-
dc.date.available2024-12-20T02:53:42Z-
dc.date.issued2022-
dc.identifier.urihttp://thuvienso.thanglong.edu.vn//handle/TLU/11972-
dc.description.abstractThis book analyses the use of qualitative and quantitative content analysis methodologies for risk disclosure practices in the European banking industry. While doing so, it assesses the level of transparency of financial and non-financial reports by focusing on the information disclosed to the public with reference to risk exposure and management. By drawing upon both qualitative and quantitative techniques, the book proposes two different methodological approaches to assess the information European financial institutions provide to the public with reference to the risk disclosure and derivative disclosure in their annual financial reports.vi
dc.format.extent150 pvi
dc.language.isoenvi
dc.publisherSpringervi
dc.subjectFinancial riskvi
dc.subjectBanking Europevi
dc.subjectRủi ro tài chính ngân hàng Châu Âuvi
dc.titleRisk disclosure in the European banking industry : qualitative and quantitative content analysis methodologiesvi
dc.typeSách/Bookvi
Appears in Collections1-Kinh tế - Quản lý

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