Browse by Subjects

Up a level
Export as [feed] RSS 1.0 [feed] RSS 2.0
Group by: Creators | Date | No Grouping
Jump to: A | B | C | D | E | F | G | H | I | J | K | L | M | N | O | P | Q | R | S | T | U | V | W | X | Y | Z
Number of items at this level: 454.

A

AGARWAL, ANUSHREE PRADEEPKUMAR (2016) DETERMINANTS OF LOAN LOSS PROVISIONING BEHAVIOUR IN INDIAN COMMERCIAL BANKS. [Dissertation (University of Nottingham only)]

Abdul Halim, Kameel (2007) DEVELOPING A FORMAL AND INTEGRATED RISK MANAGEMENT FRAMEWORK IN THE HIGHER EDUCATION SECTOR: A case study on the University of Nottingham. [Dissertation (University of Nottingham only)] (Unpublished)

Acott, Nicola (2006) Small Insurance Management Buy-Outs & Entrepreneurship. [Dissertation (University of Nottingham only)] (Unpublished)

Adesanya, Tolulope (2010) Finding Evidence of the Existence of Enterprise Risk Management In Non-Financial Industries: The Case of Shell Nigeria Ltd and ChevronTexaco Nigeria Ltd. [Dissertation (University of Nottingham only)] (Unpublished)

Agarwal, Riya (2010) Risk Management In SMEs. [Dissertation (University of Nottingham only)] (Unpublished)

Agarwal, Riya (2009) Risk management in mergers and acquisitions: A case study Tata Corus merger. [Dissertation (University of Nottingham only)] (Unpublished)

Agathangelou, Leda (2008) Asymmetric Information in Insurance Market: Evidence from the Automobile Insurance Market of Cyprus. [Dissertation (University of Nottingham only)] (Unpublished)

Agbi, Nnenna Nkechinyere (2012) Estimating The Loan Loss Provision Model As In Indicator for Efficient Risk Management In The Nigerian Banking System. [Dissertation (University of Nottingham only)] (Unpublished)

Ahmed, K.H. (2016) The determinants that affect the success of Loan loss provisioning: Analysing the UK banking industry. [Dissertation (University of Nottingham only)]

Akinwamide, Aarinola Esther (2015) The Impact of Loan Loss Provision and Bank Capital on Performance in UK Banking Industry: Evidence from the 2007 Global Financial Crisis. [Dissertation (University of Nottingham only)]

Al Lawati, Taha Mustafa Mohsin (2017) Cyber Risk Disclosure Practice in Top 10 U.S. Information Technology Companies: An Empirical Analysis. [Dissertation (University of Nottingham only)]

Alatram, Khaled (2019) Risk Management Implications of Financial Technology (Fintech) in GCC Countries. [Dissertation (University of Nottingham only)]

Alawode, Aminat Abimbola (2013) Risk Management Within the Insurance Industry. [Dissertation (University of Nottingham only)] (Unpublished)

Albinali, Noora (2017) A Comparative Analysis of Risk Culture in Financial and Non-Financial Firms. [Dissertation (University of Nottingham only)]

Ali, Farhad (2016) The relationship between liquidity and profitability in oil and gas companies: evidence from the United States market. [Dissertation (University of Nottingham only)]

Alkhub, Hala (2011) Value at Risk Disclosures: The Case of Canada Revisited. [Dissertation (University of Nottingham only)] (Unpublished)

Alluri, Achuta Krishna Kishore Varma (2012) “A Study of Pre and Post Recession UK Banking Industry and Stock Market Performance”. [Dissertation (University of Nottingham only)] (Unpublished)

Alsairafi, Ahmed (2010) UNIVERSITY OF NOTTINGHAM Riskiness of Islamic and conventional retail banks: a comparative study Ahmed AlSairafi MA Risk Management Riskiness of Islamic and conventional retail banks: a comparative study. [Dissertation (University of Nottingham only)] (Unpublished)

Amadi, Jacob (2017) The Changing Cost of Cyber Events: An Event Study Analysis. [Dissertation (University of Nottingham only)]

Aman, Nur Amiza (2012) EXPLORING RISK MANAGEMENT IN MALAYSIAN ISLAMIC BANKING – POST FINANCIAL CRISIS LENS. [Dissertation (University of Nottingham only)] (Unpublished)

An, Jiexue (2014) Risk Based Efficiency of Asian Banks -A Stochastic Approach of Cross Country Studies. [Dissertation (University of Nottingham only)] (Unpublished)

Anand, Aniel (2006) An Investigation into what factors influence the expectation of life made by life insurance companies. [Dissertation (University of Nottingham only)] (Unpublished)

Anandaraman, Adithya (2012) Pro-cyclicality and the Discretionary use of Loan Loss Provisions: Evidence from GCC Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Anastasiou, Eleni (2009) Gender Differences in Risk Aversion: Empirical Study from Cypriot Society. [Dissertation (University of Nottingham only)] (Unpublished)

Arifianto, Muhammad Isa (2020) Study of the relation among implementation of corporate risk management, internal control, and the performance of firms in publicly listed state-owned enterprises in Indonesia (2010–2019). [Dissertation (University of Nottingham only)]

Atanassov, Alexandre (2008) The Impact of Currency Risk on Non-financial Companies in the UK. [Dissertation (University of Nottingham only)] (Unpublished)

Atayev, Kemal (2014) The impact of operational risk events on company reputation through FSA's Final Notices. [Dissertation (University of Nottingham only)] (Unpublished)

Atnas, Stephanie (2010) Risk Preferences of Doctors, Lawyers and Businessmen/women: An empirical analysis. [Dissertation (University of Nottingham only)] (Unpublished)

B

Bai, Jiangna (2006) The fair premium test for life insurance. [Dissertation (University of Nottingham only)] (Unpublished)

Bai, Luye (2013) Determinants of Audit Fee in Chinese Market. [Dissertation (University of Nottingham only)] (Unpublished)

Bailey, Alexander (2022) Leveraging Artificial Intelligence to Address Pervasive Ambiguity in Risk: A Fuzzy Logic Study of Risk Identification and Measurement in Plan Analysis, with Application to the City of Nottingham’s Plan to Attain Net-Zero. [Dissertation (University of Nottingham only)]

Bayramova, Sevinj (2016) An Empirical Analysis of Bankruptcy Risk in Oil and Gas Companies. [Dissertation (University of Nottingham only)]

Bedi, Rahul (2008) EON UK CORPORATE RISK ASSESSMENT. [Dissertation (University of Nottingham only)] (Unpublished)

Bedi, Rahul, Singh, Paminder and Lee, Chih-Shan (2008) EON UK CORPORATE SCENARIO PLANNING 2020. [Dissertation (University of Nottingham only)] (Unpublished)

Bekesius, Vilmantas (2017) Safety Culture in European Commercial Aviation Industry: A Review. [Dissertation (University of Nottingham only)]

Bellad, Alok (2010) Crisis Management: A comparative study from a board level perspective. [Dissertation (University of Nottingham only)] (Unpublished)

Bhatia, Bhavit (2013) Loan Loss Provisioning Behaviour: A Case of Tanzania. [Dissertation (University of Nottingham only)]

Bhugaloo, Shahin (2008) An empirical analysis of the risk behaviour of postgraduate studenrs. [Dissertation (University of Nottingham only)] (Unpublished)

Bi, Yue (2013) Risk-Return Trade-off: Suspicious Effect of Skewness -An Empirical study of Chinese Firms. [Dissertation (University of Nottingham only)] (Unpublished)

Bian, Xiaoxuan (2013) Determinants of Capital Structure: Empirical Evidence from UK Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Buame-Leyawor, Eugene Kofi (2005) MANAGERIAL AND PROFESSIONAL JUDGEMENT IN GENERAL INSURANCE RESERVING. [Dissertation (University of Nottingham only)] (Unpublished)

C

CAO, XU (2013) Investigating How Risk Management Evolved in BP and IBM Over the Last Decade (from 2003 to 2012). [Dissertation (University of Nottingham only)] (Unpublished)

CHAN, Ting Fung (2019) Empirical analysis on the relationship between good import, good export, Tariff and economic growth. [Dissertation (University of Nottingham only)]

CHANG, L. (2020) The Application of GARCH-VaR models in Chinese Commercial Banks for the Foreign Exchange Rate Risks Management. [Dissertation (University of Nottingham only)]

CHEN, BINGJIE (2014) Analysis of Liquidity Risk in Chinese Commercial Banks under Basel III. [Dissertation (University of Nottingham only)] (Unpublished)

CHEN, YOURAN (2018) Analysis of the Determinants of Credit Risk: Empirical Evidence from The European Union Banking Industry. [Dissertation (University of Nottingham only)]

Cai, JunJie (2019) The Effect of Mergers and Acquisitions on Firm Performance- Evidence from China. [Dissertation (University of Nottingham only)]

Cai, Xuanyan (2011) A comparative study of risk disclosures in the banking sector in China and UK. [Dissertation (University of Nottingham only)] (Unpublished)

Calvet, Elise (2010) How Did Copenhagen Summit Affect the Public and Political Perception of Environmental Risks in France? An Interview and Documentary Analysis Focussing on The Pre and Post Copenhagen Environmental Legislation in The Energy Industry. [Dissertation (University of Nottingham only)] (Unpublished)

Cao, S (2013) A Cross Country Analysis of Banking Efficiency: East Asian Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Cassab, Eduardo (2005) REINSURANCE IN MEXICO, MORAL HAZARD AND ASIMETRIC INFORMATION. [Dissertation (University of Nottingham only)] (Unpublished)

Chan, Calvin (2007) The impact of Crisis Communication on audience: A study based on plane crash. [Dissertation (University of Nottingham only)] (Unpublished)

Chan, Hiu Man (2013) Analyzing the Efficiency and Loan Loss Provisioning of the Banks in Hong Kong. [Dissertation (University of Nottingham only)] (Unpublished)

Chang, Jinyuan (2008) Empirical Tests of Efficiency in Financial Analysts' Earnings Forecasts: Evidence from UK. [Dissertation (University of Nottingham only)] (Unpublished)

Charalambous, Joanna (2009) “How and to what extend the premiums of ATE legal expense insurance relate with the value of personal injury cases”. [Dissertation (University of Nottingham only)] (Unpublished)

Chen, Chen (2009) Risk Disclosure and Risk Management of UK Real Estate Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Chen, Hsiao-Ling (2016) An empirical analysis of Value at Risk and Expected Shortfall in CDS and Equity markets. [Dissertation (University of Nottingham only)]

Chen, Mengjie (2019) Determinants of Credit Risk: Empirical Evidence from Chinese Commercial Banks. [Dissertation (University of Nottingham only)]

Chen, Xin (2006) Test of CAPM in China Stock Market. [Dissertation (University of Nottingham only)] (Unpublished)

Chen, Xin (2006) Test of CAPM in China Stock Market. [Dissertation (University of Nottingham only)] (Unpublished)

Chen, Zili (2014) De Facto China Yuan Exchange Rate Regime and Fluctuation Estimation. [Dissertation (University of Nottingham only)] (Unpublished)

Chitate, Alfonce (2018) A SEGMENT ANALYSIS OF PREMIUM CONTRIBUTIONS WITHIN MULTI-LINE INSURERS (DEVELOPED VS. DEVELOPING COUNTRIES). [Dissertation (University of Nottingham only)]

Choi, Hei Ting (2017) Comparing the systematic risk of developing and developed countries in East Asia: Empirical evidence from 1997 Asian Financial Crisis. [Dissertation (University of Nottingham only)]

Chong, Anne Michele, Siang Yoon (2007) Effective Entrepreneurial Choice: The Role of Rationality and Non-Rationality in Three Entrepreneurs Success Stories. [Dissertation (University of Nottingham only)] (Unpublished)

Chrysostomou, Xenia (2013) Validity of the People Risk Framework: Evidence from the FSA. [Dissertation (University of Nottingham only)] (Unpublished)

Chu, Man Chong (2011) International comparison on bank capital and performance. [Dissertation (University of Nottingham only)] (Unpublished)

chan, wing chong (2013) Loan Loss Provisioning Practices in Hong Kong Banking Sector. [Dissertation (University of Nottingham only)] (Unpublished)

D

Damani, Manjri (2008) Risk Management in Retail Supermarkets -‘DMart’. [Dissertation (University of Nottingham only)] (Unpublished)

Dang, Hang (2016) The Effects of Relationship with Family and Friends on the Household Reporting of Arrears. [Dissertation (University of Nottingham only)]

De Silva, Udara (2017) An Investigation into Nottingham SMEs'Perceptions and Attitudes Towards Cyber Risk. [Dissertation (University of Nottingham only)]

Ding, Huifei (2012) Loan Loss Provision Practices in Hong Kong Banking System during 2005-2011. [Dissertation (University of Nottingham only)] (Unpublished)

Do, Phuong Nhu (2013) Bank Loan-Loss Provisions: A study of Korean Commercial Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Doria, Domingo (2014) Risk Appetite and Decision Making in Venezuelan Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Dosunmu, Adebukola (2014) Analysis of operational risk management in the Nigerian oil and gas industry. [Dissertation (University of Nottingham only)] (Unpublished)

Du, Cong (2017) A cross-country comparison of Expected Shortfall estimation models. [Dissertation (University of Nottingham only)]

E

Endeley, E.L. (2016) Building a sustainable risk culture using the six areas of discipline: Analysis from FCA. [Dissertation (University of Nottingham only)]

Enkhbaatar, Ider (2019) Impact of Enterprise Risk Management on the Performance of the Publicly Listed Companies on London Stock Exchange. [Dissertation (University of Nottingham only)]

Esu, Orimini (2014) Risk attitudes, self-efficacy & occupational sector choice: An experimental survey of Nigerian undergraduate students. [Dissertation (University of Nottingham only)] (Unpublished)

Ezhieh, Shirin (2012) Determinants of the Reinsurance Demand in the United Kingdom General liability Insurance Market, 1985-2010. [Dissertation (University of Nottingham only)] (Unpublished)

Ezhieh, Shirin (2012) Determinants of the Reinsurance Demand in the United Kingdom General liability Insurance Market, 1985-2010. [Dissertation (University of Nottingham only)] (Unpublished)

el baradei, mostafa (2006) Enterprise Risk Management "More than a Concept". [Dissertation (University of Nottingham only)] (Unpublished)

F

FAN, YUJIA (2022) The impact of liquidity risk on the bank financial performance: the case of the UK commercial banks. [Dissertation (University of Nottingham only)]

Fan, Han (2022) Irrational Behavior of Investors and Its Risk to Their Returns: Evidence from Chinese Mutual Funds. [Dissertation (University of Nottingham only)]

Fan, Liyu (2012) Dynamic Analysis of Correlation between Stock Market returns: An Empirical Study on Hong Kong and UK Stock Markets. [Dissertation (University of Nottingham only)] (Unpublished)

Fan, Wenye (2020) Modelling Credit Risk for Chinese SMEs. [Dissertation (University of Nottingham only)]

Fang, Jun (2022) The risk analysis of major cryptocurrencies: Value-at-risk and Expected shortfall approaches. [Dissertation (University of Nottingham only)] (Unpublished)

Feng, Jialun (2009) Deposit insurance, discipline market, moral hazard and risk in Banking: A quantitative approach. [Dissertation (University of Nottingham only)] (Unpublished)

Feng, Kunxian (2019) The foreign exchange management for the machinery manufacturing industry –Based on the exchange rate of USD/CNY. [Dissertation (University of Nottingham only)]

Feng, Shu-Xin (2015) An empirical analysis of the determinants of bank's credit risk and evaluating the relationship between these determinants and the credit risk. [Dissertation (University of Nottingham only)]

Fogou, Theognosia (2009) A Content Analysis of Risk Disclosures in the Oil and Gas Industry. [Dissertation (University of Nottingham only)] (Unpublished)

Fonseca, Melbourne (2008) Analysis of the differences in the management of a conventional and a takaful insurance company. [Dissertation (University of Nottingham only)] (Unpublished)

Foo-Kune, Anthony (2013) The effect of religiosity on individual’s risk attitudes among young adults: The case of Christianity. [Dissertation (University of Nottingham only)] (Unpublished)

Fossen Haarstad, Line (2006) Which Risk Management Processes are evident within Maritime Economics: Applying Scanscot-Shipping, Oldendorff Carriers and Wilhelm Wilhelmsen as cases. [Dissertation (University of Nottingham only)] (Unpublished)

Fu, Cong (2014) Risk Management and the Relationship with Performance of Listed Insurance Organizations. [Dissertation (University of Nottingham only)] (Unpublished)

Fu, Xihao (2015) The Risk/Return Tradeoff in Relation to Corporate Performance within Chinese Companies. [Dissertation (University of Nottingham only)]

Fuyuan, Lu (2022) Research on the stock volatility of listed banks in China. [Dissertation (University of Nottingham only)]

fan, xue (2008) The demand for reinsurance: Empirical test for the UK life insurance industry. [Dissertation (University of Nottingham only)] (Unpublished)

G

GAO, Wanwei (2008) Readability of Risk Disclosure: An Analysis of Chinese Overseas Listing Companies. [Dissertation (University of Nottingham only)] (Unpublished)

GEORGIOU, ANASTASIA MARIA (2009) The Causes of a Crisis, Crisis Management and Environmental Risks illustrated through the Buncefield Case Study. [Dissertation (University of Nottingham only)] (Unpublished)

Gao, Qianhe (2016) The Efficiency and Risk in Chinese Banking Sector. [Dissertation (University of Nottingham only)]

Gao, Song (2014) An Empirical Analysis of the Contagion Risk in the Stock Markets: Evidence with E-GARCH VaR Model. [Dissertation (University of Nottingham only)] (Unpublished)

Gao, Yiqi (2007) Pricing risk- data is available on the premium rates charged by life insurance companies. Are there differences between large firms and small firms? Between mutual firms and proprietary firms? [Dissertation (University of Nottingham only)] (Unpublished)

Gooding, Khiam (2015) The Impact of CEO Turnover on Stock Volatility. [Dissertation (University of Nottingham only)]

Gradwell, Matthew (2012) A FUNDAMENTALS ASSET PRICING MODEL: MEASURING DIFFERENCES BETWEEN FIRMS IN THE UK MARKET. [Dissertation (University of Nottingham only)] (Unpublished)

Gregoriou, Ioanna (2009) ‘What can we understand from the firms’ accounts about the risks they are exposed to and how they manage them? A comparison is made between firms in five different industries for the year 2008’. [Dissertation (University of Nottingham only)] (Unpublished)

Gunawan, Vania Pradipta (2013) Loan Loss Provisions Determinants: Evidence from Indonesian Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Guo, Litong (2013) The Role of Human Resource Management in Managing People risk in Bank. [Dissertation (University of Nottingham only)] (Unpublished)

H

HE, XIANG (2022) Impact of the covid-19 epidemic on the relationship between R&D and firm performance - a comparative analysis of state-owned and non-state-owned enterprises in the Chinese pharmaceutical manufacturing industry and information technology industry. [Dissertation (University of Nottingham only)]

HO, K.Y. (2005) Demographic Crisis: Challenges for Retirement Schemes in Hong Kong. [Dissertation (University of Nottingham only)] (Unpublished)

Haizel-Cobbina, Vera Kate (2007) To What Extent Have The Attitudes of Senior Management in The UK Insurance Companies Developed in The Light of Changes in Genetics Technology in The Last Decade? [Dissertation (University of Nottingham only)] (Unpublished)

Halliday, Joyce Nnenna (2005) RISK MANAGEMENT IN OIL AND GAS SECTOR. [Dissertation (University of Nottingham only)] (Unpublished)

Hanson, Philip B H (2011) The Insurance Industry in a Climate of Change. [Dissertation (University of Nottingham only)] (Unpublished)

Harvey, Edward (2008) "Does a Compensation Culture Exist in the United Kingdom?". [Dissertation (University of Nottingham only)] (Unpublished)

He, Jiayi (2022) The Impact of labor Cost Control on the Performance and Risk of Listed Chinese Manufacturing Companies. [Dissertation (University of Nottingham only)]

He, Jiayi (2022) The Impact of labor Cost Control on the Performance and Risk of Listed Chinese Manufacturing Companies. [Dissertation (University of Nottingham only)]

He, Liu (2008) An Analysis of the Development of Pet Insurance Market in UK and China. [Dissertation (University of Nottingham only)] (Unpublished)

He, Ran (2010) Credit Risk Determinants in the Chinese Banking Industry. [Dissertation (University of Nottingham only)] (Unpublished)

Holloway, Oladisun (2017) Banking Liquidity Creation & Economic Growth: Two Sides Of The Same Coin. [Dissertation (University of Nottingham only)]

Hong, Ye (2013) Financial Distress Prediction Variables & Industry Effects Analysis. [Dissertation (University of Nottingham only)] (Unpublished)

Hou, Yuguo (2013) Moral Hazard and Risk: Explain how financial institutions, such as banks, may suffer as a result of moral hazard and how might it be managed. [Dissertation (University of Nottingham only)] (Unpublished)

Hsu, Chia-Luan (2009) Stock Return Volatility and the Determinants: An Empirical Study of the US Market. [Dissertation (University of Nottingham only)] (Unpublished)

Hu, Qiong (2010) Risk Exposure and Risk Management of UK Non-life Insurance Company. [Dissertation (University of Nottingham only)] (Unpublished)

Hu, Yuqin (2019) The Relationship between the Risk Management Level and the Financial Performance in the Investment Banking Industry. [Dissertation (University of Nottingham only)]

Hu, Zengbao (2018) Individual Risk Attitude: Measurement and Determinants -- An empirical study from China. [Dissertation (University of Nottingham only)]

Huang, Chuyao (2018) How do oil prices affect stock market returns in financial sectors:evidence from China and the U.S. [Dissertation (University of Nottingham only)]

Huang, Guanrong (2020) Analysis of non-performing loans risk of five Chinese state-owned commercial banks. [Dissertation (University of Nottingham only)]

Huang, Xinyu (2019) An empirical analysis of the determinants of borrowers’ default risk in peer-to-peer (P2P) lending in China. [Dissertation (University of Nottingham only)]

Huang, Yu-Han (2022) The Credit Risk of China’s Listed Commercial Banks and Its Determinants. [Dissertation (University of Nottingham only)]

Hurley, Tamara Janelle (2006) The Importance of Assuming Appropriate Probability Distributions when Modelling Financial Data with Extremes -A Comparative Study using EVT. [Dissertation (University of Nottingham only)] (Unpublished)

Huseynov, Sanan (2017) The Impact of Oil Price Movements on Exchange Rate Changes: Evidence from Caspian Sea Countries (GARCH and EGARCH Approaches). [Dissertation (University of Nottingham only)]

Huynh, Ngoc Nhat Vy (2018) Global Aviation Industry: Using Qualitative Content Analysis to Capture Dimensions of Safety Culture. [Dissertation (University of Nottingham only)]

I

Ighoyota-Amori, Eseoghene Glorienta (2016) Evaluating The Rise of People Risk: An Empirical Investigation Of The Financial Services Industry. [Dissertation (University of Nottingham only)]

Ioannou, Constantinos (2015) Small and Medium-Size Enterprises (SMEs) & Risk Management: What distinguished success from failure for two SMEs with respect to their approach to risk. [Dissertation (University of Nottingham only)]

Ioannou, Kyriaki (2017) An empirical analysis of the relationship between Board and Committee activities and Bank Risk. [Dissertation (University of Nottingham only)]

Ioannou, Neophyta (2017) Women on Boards of Directors: Causes and Consequences of Gender Composition in UK Listed Firms. [Dissertation (University of Nottingham only)]

Iordanescu, Alexandru (2012) HOW HAS BANKS’ ATTITUDE TOWARDS RISK MANAGEMENT CHANGED DURING THE 2006-2010 PERIOD. [Dissertation (University of Nottingham only)] (Unpublished)

Irodotou, Pavlina (2016) Profession differences in revealed risk preferences: An empirical analysis of Doctors, Accountants and Insurance Employees. [Dissertation (University of Nottingham only)]

J

JIANG, KAITIAN (2014) A comparison of operational risk in banks of United Kingdom and China. [Dissertation (University of Nottingham only)] (Unpublished)

JIANG, MINCHANG (2014) The Foreign Investment Risks of Chinese B Share Market. [Dissertation (University of Nottingham only)] (Unpublished)

JU, YUNHAN (2019) Corporate governance and firm risks: Evidence from UK non-financial firms. [Dissertation (University of Nottingham only)]

Jaafar, Karim Chawki (2008) The Investment Strategy of With-Profits Life Insurance Firms. [Dissertation (University of Nottingham only)] (Unpublished)

Jacklis, Ola (2012) Risk Disclosure and Risk Appetite in the UK Retail Sector. [Dissertation (University of Nottingham only)] (Unpublished)

Jackson, H (2012) An empirical investigation into characteristics of corporation’s implementing ERM practices in the UK and the significance of these characteristics’ in determining ERM adoption. [Dissertation (University of Nottingham only)] (Unpublished)

Jain, Aman (2008) Foreign Direct Investment in India modelled on Globerman & Shapiro Model. [Dissertation (University of Nottingham only)] (Unpublished)

Jair, Osman (2005) Solvency of Insurans Islam TAIB Sdn Bhd. [Dissertation (University of Nottingham only)] (Unpublished)

Jamil, Wahaj (2011) BANKING SECTOR IN PAKISTAN AND CREDIT RISK: EMPIRICAL STUDY ON DETERMINANTS OF CREDIT RISK AND THEIR EVOLUTION IN PAKISTAN’S CONVENTIONAL AND ISLAMIC BANKS. [Dissertation (University of Nottingham only)] (Unpublished)

Jang, Jr Lung (2008) A comparative analysis in UK mortgage banking sector in the perspective of risk assessment after sub-prime crisis. [Dissertation (University of Nottingham only)] (Unpublished)

Jaques, Andrew James Shaw (2007) Remuneration of Non-Life Insurance Intermediaries in the U.K. [Dissertation (University of Nottingham only)] (Unpublished)

Jiang, Nan (2008) Examining Risk Management and Risk Disclosures Practices in UK Public Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Jiang, Yue (2019) The Impact of Enterprise Risk Management (ERM) on Corporate Performance: The Case of Non-financial Listed US Companies. [Dissertation (University of Nottingham only)]

Jurado Salazar, Mariana Fernanda (2018) Estimation and analysis of life annuity premiums with distortion risk measures. [Dissertation (University of Nottingham only)]

ju, linlin (2009) cultural differences in coordination decisions within interdependent security context. [Dissertation (University of Nottingham only)] (Unpublished)

K

Ka Shing, Yip (2007) Is there any favourite-longshot bias in the Hong Kong racetrack betting market? [Dissertation (University of Nottingham only)] (Unpublished)

Kabir, Bushra (2017) Is ERM a Reputational Asset or Liability? Evidence from Operational Risk Announcements in Financial Institutions. [Dissertation (University of Nottingham only)]

Kapoor, Avya (2008) Strategic perspectives of outsourcing; The view within the insurance industry. [Dissertation (University of Nottingham only)] (Unpublished)

Karletides, GK (2018) An Empirical Analysis of Regulatory Risk in the Banking Industry. [Dissertation (University of Nottingham only)]

Khussanov, Azizzhon (2011) A Value at Risk Efficiency Test Under Different Scenarios: Historical Simulation and MOnte Carlo Simulation Approaches. [Dissertation (University of Nottingham only)] (Unpublished)

Koltsidas, Anastasios (2009) Life and Health Insurance Under Ambiguity. [Dissertation (University of Nottingham only)] (Unpublished)

Kongprajya, Anyarat (2010) An Analysis of The Impact of Political News on Thai Stock Market. [Dissertation (University of Nottingham only)] (Unpublished)

Kongprajya, Chalida (2010) The Study of Risk Disclosure in the Case of Thai Listed Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Kurian, John (2012) Banks and The Global Financial Crisis: What Did They Say about Their Risk Management Before The Crisis? How Did This Change Afterwards? Use Information from Their Reports and Accounts. [Dissertation (University of Nottingham only)] (Unpublished)

Kyriakos, Fialoyiannos (2013) Credit Risk Determinants of Large Banks within the Eurozone Countries, Which Received a EU bailout; and the Effects of the 2008 Global Financial Crisis. [Dissertation (University of Nottingham only)] (Unpublished)

kang, chenlei (2019) Policy Uncertainty and Mergers and Acquisitions in China. [Dissertation (University of Nottingham only)]

L

LE, Shengyue (2009) Diversification Strategy and Comparative Financial Performance in the Chinese Non-life Insurance Industry. [Dissertation (University of Nottingham only)] (Unpublished)

LE, THI ANH THU (2017) CROSS-BANK IMPACT OF OPERATIONAL LOSS ANNOUNCEMENTS IN BANKS IN EMERGING AND DEVELOPING COUNTRIES. [Dissertation (University of Nottingham only)]

LI, BO (2008) An investigation into the determinants of Investment strategy of UK with-profit life office. [Dissertation (University of Nottingham only)] (Unpublished)

LI, JIEYU (2022) The impact of board characteristics and corporate ownership on corporate risk-taking: the case of Chinese listed companies. [Dissertation (University of Nottingham only)]

LI, Jingchao (2018) The Determinants of Bank Default Risk: Evidence from Commercial Banks in Euro Area under the Background of Brexit Referendum. [Dissertation (University of Nottingham only)]

LI, VIVIANA (2012) Assessing the Performance of Value – at – Risk Models in Hang Seng Index and China Securities Index. [Dissertation (University of Nottingham only)] (Unpublished)

LI, YAJING (2015) Cost Efficiency of Chinese Commercial Banks - A Stochastic Frontier Analysis. [Dissertation (University of Nottingham only)]

LIU, YITING (2018) Risk Management Efficiency in UK Non-Life Insurance Companies. [Dissertation (University of Nottingham only)]

LU, ZONGQI (2013) Credit risk determinants analysis: Empirical evidence from Chinese commercial banks. [Dissertation (University of Nottingham only)] (Unpublished)

LUO, QINWEN (2010) Management and Disclosures of Risks in Pension Schemes of Different Types of Organisations. [Dissertation (University of Nottingham only)] (Unpublished)

LUU, HANH THU (2016) The Determinants of Bank Profitability in Vietnam during the period 2009-2015. [Dissertation (University of Nottingham only)]

Lai, Eunice (2022) Is Bitcoin a safe haven for equity markets during the Covid-19 pandemic? [Dissertation (University of Nottingham only)]

Laksanakoses, Vorasamart (2011) Are Bank Regulations and A Pro-cyclicality Related to Bank Provisioning in the ASEAN Plus Three Group? [Dissertation (University of Nottingham only)] (Unpublished)

Lambrianides, Giorgos (2022) Dynamic conditional correlations over uncertain periods between the SP500 and stock index returns. [Dissertation (University of Nottingham only)]

Lao, Yufei (2010) Risk Reduction Study of Hong Kong Index Futures. [Dissertation (University of Nottingham only)] (Unpublished)

Laprocina, Enrica (2018) “Risk assessment on the reductions of oxides of nitrogen emissions at the Staythorpe power station using Six Sigma method”. [Dissertation (University of Nottingham only)]

Larsen Van Alstine, Shannen (2019) Empirical Study of Asset Pricing Models on Mexico's Stock Market. [Dissertation (University of Nottingham only)]

Latheef, Fathmath Aroosha (2015) An Analysis of Cost Efficiency and Loan Loss Provisioning Behaviour in Hong Kong Commercial Banks. [Dissertation (University of Nottingham only)]

Le, Nguyen Hoang Oanh (2013) Analysing the loan loss provisioning and efficiency of the banks in Vietnam. [Dissertation (University of Nottingham only)] (Unpublished)

Lei, Juan (2013) Bank Cost Efficiency in Hong Kong and China. [Dissertation (University of Nottingham only)] (Unpublished)

Leung, Lily (2005) RISK MANAGEMENT OF WORLD CLASS OPERATIONS IN AFTERMARKET LOGISTICS AT ROLLS ROYCE. [Dissertation (University of Nottingham only)] (Unpublished)

Li, Fulei (2014) An Analysis of the Factors that Determine the Foreign Exchange Rate for USD/GBP (Cable). [Dissertation (University of Nottingham only)] (Unpublished)

Li, Haoyu (2017) Analysis of The Determinants of Bank’s Credit Risk:An Empirical Study of Commercial Banks in China. [Dissertation (University of Nottingham only)]

Li, Hengyang (2020) Dividend policy and stock price volatility: Chinese evidence. [Dissertation (University of Nottingham only)]

Li, Jialu (2014) Credit Risk Measurement and Management of the Commercial Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Li, Kai (2013) Empirical Research on Relationships Between Marginal-VaR, Component-VaR and Incremental-VaR. [Dissertation (University of Nottingham only)] (Unpublished)

Li, Mi (2012) Value-at-Risk Performances during the 2007-2008 Global Financial Crisis: a comparison of three Value-at-Risk models in the emerging markets of China, India and Philippines. [Dissertation (University of Nottingham only)] (Unpublished)

Li, Qian (2009) An Experimental Survey of Parents' Risk Attitudes Towards Sending Children to Study Abroad. [Dissertation (University of Nottingham only)] (Unpublished)

Li, Ruolin (2013) THE COST EFFICIENCY AND DETERMINANTS IN SOUTHEAST ASIAN BANKING SECTOR: THE EVIDENCE OF TEN COUNTRIES AND AREAS, 1998-2012. [Dissertation (University of Nottingham only)] (Unpublished)

Li, Shujia (2007) Value-at-Risk: the Relation with Profit and Other Risk Indicators. [Dissertation (University of Nottingham only)] (Unpublished)

Li, Wangyang (2022) Liquidity Risk and Bank Performance: Empirical Evidence from Chinese Commercial Banks. [Dissertation (University of Nottingham only)]

Li, Xiaochen (2012) A Study of Enterprise-wide Risk Management and Risk Reporting Practices in UK Listed Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Li, Yuqi (2007) Determinants of Banks' Profitability and its Implication on Risk Management Practices: Panel Evidence from the UK in the Period 1999-2006. [Dissertation (University of Nottingham only)] (Unpublished)

Li, Zhiyan (2022) Risk Metrics and Optimal Portfolio in Non-ferrous Metals Market. [Dissertation (University of Nottingham only)]

Liang, Jiahui (2014) Loan Loss Provisioning of UK Commercial Banks Pre- and Post-Global Financial Crisis. [Dissertation (University of Nottingham only)] (Unpublished)

Liao, Aijing (2014) Prospect Theory and Risk-Return Relationship: Evidence from Chinese Listed Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Liew, KeiYan (2014) Evaluation of the Predictive Ability of VaR Models during Different Market Conditions. [Dissertation (University of Nottingham only)] (Unpublished)

Limo, Rose Jepkorir/RL (2013) Investment Opportunities and Risks in Frontier Equity Markets: A Case of the Nairobi Securities Exchange. [Dissertation (University of Nottingham only)] (Unpublished)

Lin, Fangyuan (2012) Risk Management in UK Small and Medium Enterprises. [Dissertation (University of Nottingham only)] (Unpublished)

Lin, Jiayu (2014) Efficiency of Commercial Banks in Developing Countries: A Case Study of China Mainland, India and Indonesia. [Dissertation (University of Nottingham only)] (Unpublished)

Linton, Thomas (2013) A study to investigate the dynamic loan-loss provisioning method adopted by the Spanish banking system and the implications for the Spanish economy during the global financial crisis. [Dissertation (University of Nottingham only)] (Unpublished)

Liu, Lian (2012) Chinese commercial banks’ risk management performance before and after financial crisis: evidence from cost and profit efficiency. [Dissertation (University of Nottingham only)] (Unpublished)

Liu, Rundong (2010) Risk Management of SMEs in Tourism Industry: A case study of a small domestic tourism agency in China. [Dissertation (University of Nottingham only)] (Unpublished)

Liu, Wei (2013) Banks’ Cost Efficiency Determinants study: Evidences from the Germany and Greece. [Dissertation (University of Nottingham only)] (Unpublished)

Liu, Yuting (2006) A Content Analysis of External Risk Reporting in UK Public Telecommunications Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Liu, Zhi-jia (2022) The use of foreign currency derivatives, exchange rate exposure, and firm value. [Dissertation (University of Nottingham only)]

Lou, Dannilou (2013) Diversification and Corporate Performance: An Evaluation of Chinese Enterprises. [Dissertation (University of Nottingham only)] (Unpublished)

Lui, Chun Yin (2022) Backtesting VaR for Hong Kong Financial Stocks. [Dissertation (University of Nottingham only)]

Luong, Thi Thanh Huyen (2006) Contingent Capital Solution: Integrating Capital Management into Risk Management. [Dissertation (University of Nottingham only)] (Unpublished)

li, keyi (2015) Risk governance in Banks-Based on the Study of Joint-stock Commercial Bank in China. [Dissertation (University of Nottingham only)]

lu, chengen (2009) EXAMINING RISK MANAGEMENT PRACTICES AND CORPORATE GOVERNANCE IN CITIGROUP, GOLDMAN SACHS AND JP MORGAN. [Dissertation (University of Nottingham only)] (Unpublished)

M

MA, Yuemeng (2019) Research on the Motivation and Risk of the Chinese Concept Stocks Return. [Dissertation (University of Nottingham only)]

MAO, Qi (2014) The Determinants of Credit Risk in Chinese banks and UK banks. [Dissertation (University of Nottingham only)] (Unpublished)

MOUN, PRETORIA (2015) WHY DO BANKS ESTABLISH RISK MANAGEMENT COMMITTEES? [Dissertation (University of Nottingham only)]

Ma, Lei (2020) Research on Systemic Risks’ Spillover Effects of China’s Commercial Banks under COVID-19. [Dissertation (University of Nottingham only)]

Ma, Xiao (2008) long-term determinants of the real exchange rate euro-dollar exchange rate. [Dissertation (University of Nottingham only)] (Unpublished)

Makhija, Rishima (2017) DETERMINANTS OF NON-PERFORMING LOANS: EVIDENCE FROM INDIA. [Dissertation (University of Nottingham only)]

Mammadov, Fadai (2015) OIL PRICE DROP IN 2014-2015 AND ITS IMPACT ON AZERBAIJANI ECONOMY. [Dissertation (University of Nottingham only)]

Mammadyarov, Aliyar (2008) Challenges of the Banking systems of Oil Exporting Countries (Case of Azerbaijan). [Dissertation (University of Nottingham only)] (Unpublished)

Mao, Fangbin (2019) The Risk Management of P2P Online Lending Platforms in China-Take Lufax as An Example. [Dissertation (University of Nottingham only)]

Mariscal Martinez, Jesus Angel (2015) Determinants of profitability in Mexican commercial banks. A two-stage analysis using parametric deterministic and stochastic approaches to estimate efficiency. [Dissertation (University of Nottingham only)]

Mavrou, Athina (2009) Risk Management in Commercial Banks in Cyprus. [Dissertation (University of Nottingham only)] (Unpublished)

Michaelidou, Vasiliki (2012) Banking Efficiency in European Banking. [Dissertation (University of Nottingham only)] (Unpublished)

Miller, Gino (2008) Managing Insurance Fraud. [Dissertation (University of Nottingham only)] (Unpublished)

Mo, Jingjie (2022) Diversification strategy can reduce risk :A case study of Chinese commercial banks. [Dissertation (University of Nottingham only)]

Mohammad, Zia (2013) Risk Management in Financial Institutions before and after the financial crisis. [Dissertation (University of Nottingham only)] (Unpublished)

Mohd Ramli, Mohd Nizaruddin Azlan (2008) HOWCAN MULTI- CHANNEL RETAILING FURTHER EXPAND THEIR PRODUCT RANGE WHILST SUSTAINING CUSTOMER EXPERIENCE AND SATISFACTION FOR BOOTS.COM? A Risk management perspective. [Dissertation (University of Nottingham only)] (Unpublished)

Mombeshora, Martin (2013) Risk Governance in Non-financial Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Musa, Malliya Bello (2013) The Impact Of Credit Risk On The Profitability Of Commercial Banks: A Cross Country Analysis (UK, US & Nigeria). [Dissertation (University of Nottingham only)] (Unpublished)

Musignisarkorn, Orin (2009) The Costs and Benefits of Thai Commercial Banks to the Implementation of Basel II. [Dissertation (University of Nottingham only)] (Unpublished)

Mussabekova, Raushan (2011) Loan loss provisions and pro-cyclicality: the case of Commonwealth of Independent States (CIS). [Dissertation (University of Nottingham only)] (Unpublished)

Mwaura, Frida (2019) Using Lean Six Sigma to Improve Insurance Claims Processes in Emerging Markets. [Dissertation (University of Nottingham only)]

N

Nassar, Dalia/D.N (2011) The Accuracy and Disclosure of VaR by banks : Evidence from the UK. [Dissertation (University of Nottingham only)] (Unpublished)

Nawaz, Nafia (2020) Cultural Worldviews and Environmental Risk Perception: A Cross-Cultural Study Using European Values Survey. [Dissertation (University of Nottingham only)]

Nge Nge, Chaw Su (2011) The insurance underwriting cycle: Does it vary by insurers? [Dissertation (University of Nottingham only)] (Unpublished)

Nghiem, Hien (2012) RELATIONSHIP BETWEEN PRODUCT DIVERSIFICATION AND UNDERWRITING PERFORMANCE IN UK PROPERTY-LIABILITY INSURANCE MARKET. [Dissertation (University of Nottingham only)] (Unpublished)

Noble, James (2010) A Case Study on the effectiveness of Crisis Management within a Global Organisation. [Dissertation (University of Nottingham only)] (Unpublished)

Nugraha, Aditya (2017) Corporate Governance Ratings of Indonesia State-Owned Enterprise on Firm Performance 2012-2016. [Dissertation (University of Nottingham only)]

O

ONG, Wei Jiin (2006) Corporate Governance Disclosure in Malaysia. [Dissertation (University of Nottingham only)] (Unpublished)

Ofosuhene, Joyce (2012) The Impact of Risk Management Variables on the Efficiencies of Ghanaian Commercial Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Ofosuhene, Joyce (2012) The Impact of Risk Management Variables on the Efficiencies of Ghanaian Commercial Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Oktaresa, Betrika (2017) The Effect of Enterprise Risk Management on Indonesian Publicly Listed Companies' Performance. [Dissertation (University of Nottingham only)]

Olaseinde, Olumide, K. (2012) RISK MANAGEMENT IN UK CORPORATIONS: COMPARING FINANCIAL SERVICE INDUSTRY, OIL AND GAS INDUSTRY AND OTHER NON-FINANACIAL INDUSTRIES. [Dissertation (University of Nottingham only)] (Unpublished)

Ong, Sze En (2012) Catasrophe Bond Pricing: An Application of Extreme Value Theory. [Dissertation (University of Nottingham only)] (Unpublished)

Ong, Sze En (2012) Catastrophe Bond Pricing: An Application of Extreme Value Theory. [Dissertation (University of Nottingham only)] (Unpublished)

Ongwuttiwat, P. (2016) An analysis of the relationship between corporate governance and risk management, and performance in the real estate industry. [Dissertation (University of Nottingham only)]

Ou, Shian Kao (2006) Can reported VaR be used as an indicator of the volatility of share prices? Evidence from UK banks. [Dissertation (University of Nottingham only)] (Unpublished)

Ou, Shian Kao (2006) Can reported VaR be used as an indicator of the volatility of share prices? Evidence from UK banks. [Dissertation (University of Nottingham only)] (Unpublished)

Ou, Shian Kao (2006) Can reported VaR be used as an indicator of the volatility of share prices? Evidence from UK banks. [Dissertation (University of Nottingham only)] (Unpublished)

Oyekanmi, Adedoyin (2013) Bank Transparency and Loan Loss Provisioning Behaviour: A Study of Islamic Banks in Different Countries. [Dissertation (University of Nottingham only)] (Unpublished)

P

PAFITOU, MARINA MP (2012) Measuring attitudes to Income Risk:Evidence from the Cypriot Society. [Dissertation (University of Nottingham only)] (Unpublished)

PHAN, Ha (2009) Assessing the Performance of Value-at-Risk Models in London Stock Market. [Dissertation (University of Nottingham only)] (Unpublished)

Pampaka, Martha (2013) UK Oil and Gas Industry: Risks and Risk Management. [Dissertation (University of Nottingham only)] (Unpublished)

Pan, Zijun (2013) The Determinants of Profitability in Banking and Its Implication for Risk Management: Evidence from UK Bank over 2003-2012. [Dissertation (University of Nottingham only)] (Unpublished)

Panayiotou, Eleni (2012) An examination of the determinants of commercial banks’ profitability before and during the financial crisis: Empirical evidence from Western European countries. [Dissertation (University of Nottingham only)] (Unpublished)

Pang, Yingxuan (2020) Customers’ Risk Perception and Intention of Using Electronic banking Services: An Empirical Study Based on Evidence of Chinese. [Dissertation (University of Nottingham only)]

Papadopoulos, Loucas (2013) Investigating risk disclosure practices in the annual reports of UK non-financial companies. [Dissertation (University of Nottingham only)] (Unpublished)

Pavlidou, Anna (2012) The Determinants of Cyprus Banks’ Risk-Taking Behaviour and how they have been affected by the 2008 Global Financial Crisis: An Empirical Investigation. [Dissertation (University of Nottingham only)] (Unpublished)

Persand-Gujadhur, Hurvashee (2014) An analysis of the impact of credit risk and liquidity risk on default probability in European banks. [Dissertation (University of Nottingham only)] (Unpublished)

Petrakka, Chrystalleni (2012) Women on Boards of Directors and their Contribution to the Risk Performance of UK Listed Firms: An Empirical Analysis. [Dissertation (University of Nottingham only)] (Unpublished)

Pigge, Sebastian (2013) Researching The Risks Of Utilising Pre-Purchase-Based/Reward Based Crowdfunding And Identifying Possible Mitigation Strategies. [Dissertation (University of Nottingham only)] (Unpublished)

Pillai, Pravin.R. (2013) X-Efficiency and Scale Efficiency of Middle East Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Preziosi, Davide (2010) THE UK NATURAL GAS MARKET AND THE THEORY OF STORAGE. [Dissertation (University of Nottingham only)] (Unpublished)

Protopapas, Nikolas (2008) An intentional approach to risk management processes and methods and the impact of the recent financial crisis. [Dissertation (University of Nottingham only)] (Unpublished)

peng, peng (2013) The impact of Credit Risk on x-efficiencies for commercial banks in the Chinese banking sector. [Dissertation (University of Nottingham only)] (Unpublished)

Q

QIAN, Jianan (2020) Analysis of the changing determinants of liquidity risk in U.S banks between 2007 and 2018. [Dissertation (University of Nottingham only)]

Qian, Jianan (2020) Analysis of the changing determinants of liquidity risk in U.S banks between 2007 and 2018. [Dissertation (University of Nottingham only)]

Qureshi, Asfandyar Hasan (2013) Cost and Profit Efficiencies of Fully-Fledged Islamic Banks and Islamic Windows of Conventional Banks in Pakistan. [Dissertation (University of Nottingham only)] (Unpublished)

Qureshi, Asfandyar Hasan (2013) Cost and Profit Efficiencies of Fully-Fledged Islamic Banks and Islamic Windows of Conventional Banks in Pakistan. [Dissertation (University of Nottingham only)] (Unpublished)

R

Rahim, Hifza (2013) Executive Remuneration in Retrospect. [Dissertation (University of Nottingham only)] (Unpublished)

Rahman, Hamidur (2015) Consumer satisfaction with M-banking in India: Influences and Implications. [Dissertation (University of Nottingham only)]

Ramsay-Lewis, Jordan/JRL (2015) Risk Culture in Financial Institutions. [Dissertation (University of Nottingham only)]

Rathi, Devesh (2010) Insurance Securitization - Hedging Catastrophe, Mortality and Longevity Risks. [Dissertation (University of Nottingham only)] (Unpublished)

Ray, Chiranjib (2005) Weather Derivatives as A Risk Management Tool for Beverages Manufacturers and Breweries in The UK. [Dissertation (University of Nottingham only)] (Unpublished)

Raymond, Marie-Alice (2017) The use of Big Data in financial services, its current applications and risks. [Dissertation (University of Nottingham only)]

Raza, Naba (2022) Risk Perceptions of SARS-CoV-2 in the UK: A City-wise Analysis. [Dissertation (University of Nottingham only)]

Rekhy, Nikita (2012) Risk management in Indian Banking Sector. [Dissertation (University of Nottingham only)] (Unpublished)

Remisha, Tassa (2013) Leveraged Buyouts and Bankruptcy Risk. [Dissertation (University of Nottingham only)] (Unpublished)

Rockley, Oliver (2010) Did banks that survived the financial crisis demonstrate better risk governance than those that did not? [Dissertation (University of Nottingham only)] (Unpublished)

Rodrigues Da Costa, Victoria (2009) The Extent of Derivative Usage by Large Non-Financial Firms in Europe. [Dissertation (University of Nottingham only)] (Unpublished)

Rogozin, Konstantin (2006) Motor Third Party Liability Insurance in Russia: Gaining Competitive Advantage. [Dissertation (University of Nottingham only)] (Unpublished)

Rogozin, Konstantin and Vayshnurs, Anton (2006) Opportunities for UK reinsurance broker on Russian insurance market. [Dissertation (University of Nottingham only)] (Unpublished)

Roussos, Angelos (2012) LOAN LOSS PROVISIONING BEHAVIOUR OF CYPRIOT BANKS: A STUDY FOR PROCYCLICALITY, INCOME SMOOTHING AND CAPITAL MANAGEMENT. [Dissertation (University of Nottingham only)] (Unpublished)

Ru, Qing (2008) Managing Foreign Exchange Rate Exposure A Case Study in Sinochem International Corporate. [Dissertation (University of Nottingham only)] (Unpublished)

S

SHENG, Ling (2017) SME Risk Management Performance in China and how it can be Affected by Individual Demographic Factos of Owner/managers. [Dissertation (University of Nottingham only)]

SU, YATING (2017) Examining the factors of bank performances interact with the causes of 2007- 2008 financial crisis under the ‘black swan’ theory: empirical evidence from UK banks. [Dissertation (University of Nottingham only)]

Sally, Nattha (2017) An empirical analysis of the relationship between income structure and risk: Evidence from five Asian countries. [Dissertation (University of Nottingham only)]

Sandhu, Amna (2017) An Empirical Analysis of Determinants of Capital Adequacy Ratio for the Banks in Pakistan. [Dissertation (University of Nottingham only)]

Savvidou, Nicoletta (2009) Market Risk Disclosure Practices of Banks: A Comparative Cross-country Analysis. [Dissertation (University of Nottingham only)] (Unpublished)

Sawyerr, Z.N.A. (2020) Neglecting the black woman’s pain: Using the Social Amplification of Risk Framework to explain the alarmingly high mortality rate of black women in UK healthcare institutions. [Dissertation (University of Nottingham only)]

Schoinohoritis, Panagiotis (2009) The Development of a Model to Predict the Likelihood of a Firm to Hedge Against Longevity Risk. [Dissertation (University of Nottingham only)] (Unpublished)

Setyawan, Mohammad Irwan (2015) The Structure – Performance of Indonesian Banking Industry. [Dissertation (University of Nottingham only)]

Shah, Aditya (2009) Risk Reporting Practices in UK PLC's. [Dissertation (University of Nottingham only)] (Unpublished)

Shahatit, Salma (2011) The Global Financial Crisis (2007-2008) and Banks’ Liquidity Creation.‘Evidence from UK banks’. [Dissertation (University of Nottingham only)] (Unpublished)

Sharma, Saurav (2022) A Theoretical Framework for Risk Analyses of Working from home: The FTSE 100 Employer’s Perspective. [Dissertation (University of Nottingham only)]

Shen, Jiadi (2018) Backtesting in VaR Models of Bitcoins. [Dissertation (University of Nottingham only)]

Shen, Rong (2007) The Impacts of Business Risks on Mergers and Acquisitions. [Dissertation (University of Nottingham only)] (Unpublished)

Shen, Yijun (2011) Risk Management in UK Small and Medium Enterprises. [Dissertation (University of Nottingham only)] (Unpublished)

Shi, Weihan (2013) Determinants of Credit Risk: Empirical Evidence from Asia-Pacific Banking Industry. [Dissertation (University of Nottingham only)] (Unpublished)

Smith, Christopher (2006) Hedging using Derivatives: A Study of Non-Financial Firms in the UK. [Dissertation (University of Nottingham only)] (Unpublished)

Sodipo, Olubunmi (2011) Examining Risk Disclosures in Annual Reports of Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Stefanou, Areti (2009) THE PERCEIVED RISK OF TRAVELLING, WITH EMPHASIS ON TERRORISM. [Dissertation (University of Nottingham only)] (Unpublished)

Stylanides, Michalis (2015) Lending Club: Empirical Analysis of Online Peer-to-Peer Lending, Asymmetric Information and Risk Preference. [Dissertation (University of Nottingham only)]

Stylianou, Natasia (2009) Risk Management and Risk Disclosure in a Period of Financial Crisis. [Dissertation (University of Nottingham only)] (Unpublished)

Sukkhawadee, Jarut (2005) The Underwriting Cycle in Thai Fire Insurance Industry. [Dissertation (University of Nottingham only)] (Unpublished)

Sumaila, Mutiatu (2017) PRINCIPAL-AGENT RELATIONSHIPS AND INFORMATION ASYMMETRIES IN FIDUCIARY RISK MANAGEMENT. [Dissertation (University of Nottingham only)]

Sumprasert, Sukhita (2018) An empirical analysis of the determinant of bank asset risks in Southeast Asia. [Dissertation (University of Nottingham only)]

Sun, Yu (2015) Underwriting Cycles in UK Motor Insurance. [Dissertation (University of Nottingham only)]

Sylvester, Sam (2012) The Impact of Diversification on Performance of Lloyd’s Syndicates: a Mixed Methods Analysis. [Dissertation (University of Nottingham only)] (Unpublished)

salie, mohamed abid (2013) Determinants of IPO pricing in Emerging markets and the Risks faced by companies that go public. [Dissertation (University of Nottingham only)] (Unpublished)

T

TAN, JUN (2014) Did the 2008 financial crisis affect Chinese import and export industry and foreign exchange rate risk? [Dissertation (University of Nottingham only)] (Unpublished)

TANG, TIANYU (2017) The Study of the significance of Fintech to the development of risk management. [Dissertation (University of Nottingham only)]

TIian, Fangming (2013) The determinants of cash holding level in UK’s companies – do the sales risks have significant impact? [Dissertation (University of Nottingham only)] (Unpublished)

Tabbasum, Shahana (2017) Role of Risk Control in Managing Key Employees: A Comparison of Financial Firms and Non-Financial Firms. [Dissertation (University of Nottingham only)]

Tan, Xiao (2006) Can Chinese security companies use Value at Risk (VaR) to measure market risk they faced: an empirical study? [Dissertation (University of Nottingham only)] (Unpublished)

Tang, Zijing (2020) The Impact of Risk Management Capability on the Stock Price Returns of China's Six Major Commercial Banks. [Dissertation (University of Nottingham only)]

Tao, Ye (2007) How is Value at Risk used to measure the China's stock market risk? [Dissertation (University of Nottingham only)] (Unpublished)

Taweesoontorn, Natcha (2020) A comparison of Value at Risk and Expected Shortfall estimation models in the time before the COVID-19 pandemic. [Dissertation (University of Nottingham only)]

Thawornrat, Nattapong (2012) How do individuals respond when probabilities are imprecise? [Dissertation (University of Nottingham only)] (Unpublished)

Theocharous, Savvas / S.T (2018) An Empirical Analysis of the Determinants of Bank’s Default Risk Across Europe. [Dissertation (University of Nottingham only)]

Thomas, Gareth (2006) The Causes and Consequences of Differing Pensions Accounting Assumptions in UK Pension Schemes. [Dissertation (University of Nottingham only)] (Unpublished)

Thompson, Daniel (2010) To Hedge or Not to Hedge: The Impact of the Global Financial Crisis on Corporate Hedging Strategy in FTSE 350 Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Thoppil Sivasankaran, Prasanth (2006) Explore Alternative Ways in Measuring Competitiveness in Insurance Markets in UK. [Dissertation (University of Nottingham only)] (Unpublished)

Tian, Xin (2007) Probabilistic Insurance and the Insurance Purchase Behaviour. [Dissertation (University of Nottingham only)] (Unpublished)

Tian, Xinqi (2022) TESTING OF CAPITAL ASSET PRICING MODEL: AN EMPIRICIAL ANALYSIS BASED ON THE SHANGHAI AND HONG KONG STOCK MAEKETS. [Dissertation (University of Nottingham only)]

Tian, Xinqi (2022) TESTING OF CAPITAL ASSET PRICING MODEL: AN EMPIRICIAL ANALYSIS BASED ON THE SHANGHAI AND HONG KONG STOCK MAEKETS. [Dissertation (University of Nottingham only)]

Toussaint, Richelle (2015) A Comparative Analysis of Operational Risk Management Practices in UK Banks and Insurers. [Dissertation (University of Nottingham only)]

Tran, Lan Huong (2015) PROFIT EFFICIENCY AND DETERMINANTS OF PROFITABILITY IN VIETNAM BANKING FROM 2009-2014. [Dissertation (University of Nottingham only)]

Tran, Lan Phuong (2015) Dissertation. [Dissertation (University of Nottingham only)]

Tsikkouris, Antonis (2007) The toll for Charon's boat in the face of longevity risk: An examination of Basis risk in Longevity bonds. [Dissertation (University of Nottingham only)] (Unpublished)

Tsokkou, Xenia (2016) An empirical analysis: Risk attitudes of Managers, Doctors and Accountants in Cyprus. [Dissertation (University of Nottingham only)]

Tubeileh, Dana (2016) Stock Market Reactions to Operational Loss Announcements in Financial Institutions in Emerging Markets and Developing Economies. [Dissertation (University of Nottingham only)]

Tze Yeung, Mok (2010) The Impact of International Pressures on Costs and Benefits of Voluntary Disclosures in Internationally Listed European Firms. [Dissertation (University of Nottingham only)] (Unpublished)

U

Uddin, Kamal (2019) The Determination of Risk Attitude: A Reconsideration. [Dissertation (University of Nottingham only)]

Usman, Fatima (2014) Risk Management in the Nigerian Banking Industry: A Case Study of Guaranty Trust Bank. [Dissertation (University of Nottingham only)] (Unpublished)

V

Vasiliou, Loizos (2010) Basel II: Implementation of the New Accord in Cyprus; a case study about the island’s biggest bank, the Bank of Cyprus. [Dissertation (University of Nottingham only)] (Unpublished)

Verma, Vaibhav (2008) Internal Risk Financing through Captive Insurance: A Special Focus on The Structure, and Trend & Developments of Five Major Captive Insurance DOMICILES. [Dissertation (University of Nottingham only)] (Unpublished)

Viraj Thakor, V.T (2016) Is there evidence of inefficiency in the Football Betting Market? [Dissertation (University of Nottingham only)]

Vu, Bich Ngoc (2017) The determinants of bank default risk: Evidences from Vietnamese commercial banks. [Dissertation (University of Nottingham only)]

van den Aarssen, Daniel (2013) Operational Risk Management; An analysis of FSA Final Notices. [Dissertation (University of Nottingham only)] (Unpublished)

W

WANG, FANG (2006) AN EXAMINATION ON ONLINE LIFE INSURANCE PRICING: Differences between retaiers and financial services companies. [Dissertation (University of Nottingham only)] (Unpublished)

WANG, JING (2008) The Exchange Rate Exposure of Chinese Companies. [Dissertation (University of Nottingham only)] (Unpublished)

WANG, YUNYAO (2008) An Estimation of Technical Efficiency and Economies of Scale and Scope in the UK Property-Liability Insurance Industry ���������������¢�������������������������������� Use the Parametric Approach. [Dissertation (University of Nottingham only)] (Unpublished)

WANG, Yiqiao (2011) Chinese Commercial Banks and the Global Financial Crisis: What was their Risk Management before the Crisis? How do they Change afterwards? [Dissertation (University of Nottingham only)] (Unpublished)

WANSHA, CHEN (2022) RESEARCH ON THE STOCK RETURN IN CHINA-A-SHARE MARKET BASED ON THE FAMA-FRENCH THREE-FACTOR MODEL. [Dissertation (University of Nottingham only)]

WEI, QIANAO (2022) The impact of risk-taking on firm innovation and performance: based on Chinese manufacturing enterprises. [Dissertation (University of Nottingham only)]

WU, Hao (2006) Risk Management of Major Sporting Events: Implications for the 2008 Olympics. [Dissertation (University of Nottingham only)] (Unpublished)

WU, RENFENG (2011) Demand for Reinsurance in UK property-casualty insurance industry. [Dissertation (University of Nottingham only)] (Unpublished)

WU, YUE (2017) An Analysis for Efficiency and Loan Loss Provisioning Behaviour of Banking Industry in Japan. [Dissertation (University of Nottingham only)]

Wan, Jianzhi (2006) Securitisation in China - Characteristics and Difficulties. [Dissertation (University of Nottingham only)] (Unpublished)

Wang, Bingying (2020) Determinants of Enterprise Risk Management Implementation: An Empirical Analysis of Commercial Banks in China. [Dissertation (University of Nottingham only)]

Wang, Guo-Hua (2017) Empirical Analysis of Default Risk in Chinese Listed Commercial Banks. [Dissertation (University of Nottingham only)]

Wang, Han (2007) Risk Management in Banking Institutions: Comparison between Developed and Developing Countries. [Dissertation (University of Nottingham only)] (Unpublished)

Wang, Jing (2013) X-efficiency and Loan Loss Provision Decisions of Hong Kong Banking System. [Dissertation (University of Nottingham only)] (Unpublished)

Wang, Keqiang (2022) Balance Between Cost and Risk for Fund Manager When Adopting Diversification Method. [Dissertation (University of Nottingham only)]

Wang, Rui-Jie (2020) Risk management of logistics outsourcing risks within the fast-moving consumer goods sectors in China. [Dissertation (University of Nottingham only)]

Wang, Wenze (2019) Research into the efficiency of Chinese stock markets. [Dissertation (University of Nottingham only)]

Wang, Xinyi (2018) Research on Determinants of Operational Risks in Chinese Commercial Banks. [Dissertation (University of Nottingham only)]

Wang, Yang (2013) THE DETERMINANTS OF CASH HOLDINGS. [Dissertation (University of Nottingham only)] (Unpublished)

Wang, Ye (2012) The Impact of Negative Environmental Events on Corporate Stock Returns. [Dissertation (University of Nottingham only)] (Unpublished)

Wang, Yilin (2012) Potential Risk Management Improvements for Institutional Investors Enlightened by Behavoural Finance. [Dissertation (University of Nottingham only)] (Unpublished)

Wei, Yaqi (2018) A Comparative Analysis of the Determinants of Risk and Performance in Chinese and UK Banks. [Dissertation (University of Nottingham only)]

Wen, Feng (2020) Enterprise Environmental Risk Management in China. [Dissertation (University of Nottingham only)]

Weng, Weng (2011) Risk Management in Chinese SMEs: Factors Influencing SME's Risk Management and Perception of Risk-Managing Instruments. [Dissertation (University of Nottingham only)] (Unpublished)

Willis, John (2009) Behaviour in Insurance; the Determinants or Risk Attitudes. [Dissertation (University of Nottingham only)] (Unpublished)

Wirth, Pierre (2010) Risk Management in UK Life Insurance Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Wu, Danzi (2022) The impact of FinTech on bank's credit risk: Evidence from China. [Dissertation (University of Nottingham only)]

Wu, Jian (2007) Analysis of the Longevity Assumptions of Employers' Occupational Pension Schemes. [Dissertation (University of Nottingham only)] (Unpublished)

Wu, Si (2007) Health Plan Design: A Way to Risk Assessment or Risk Avoidance? A Comparison towards Private Health Insurance Products and Services of Selected Firms in the US and the UK. [Dissertation (University of Nottingham only)] (Unpublished)

Wu, Si (2007) Health Plan Design: A Way to Risk Assessment or Risk Avoidance? - A Comparison towards Private Health Insurance Products and Services of Selected Firms in the US and the UK. [Dissertation (University of Nottingham only)] (Unpublished)

Wu, Yang (2014) An Empirical Analysis of Determinants of Bank Profitability from Listed UK Banks and its Implication on Risk Management Practice. [Dissertation (University of Nottingham only)] (Unpublished)

Wu, Yu (2022) House Prices and Bank Credit Risks — A Comparison Between China and the USA. [Dissertation (University of Nottingham only)]

Wu, Zhaozhou (2014) An Analysis of The Cost Efficiency in Australian Banking Sector Pre and Post Global Financial Crisis. [Dissertation (University of Nottingham only)] (Unpublished)

wang, fei (2007) Risk Disclosure and Risk Management in Well performed and Under performed Companies in Oil and Gas Industry. [Dissertation (University of Nottingham only)] (Unpublished)

wang, yilin (2013) pension risk disclosure in FTSE100 firms. [Dissertation (University of Nottingham only)] (Unpublished)

wen, wei (2006) Derivatives and Corporate Hedging: Participation and Volume Decisions in the Life insurance Industry. [Dissertation (University of Nottingham only)] (Unpublished)

wenlong, Xue (2014) Wenlong Xue 4201725 Dissertation. [Dissertation (University of Nottingham only)] (Unpublished)

wu, ying jun (2013) Determinants of credit risk: Comparative study of banks in China, UK and US. [Dissertation (University of Nottingham only)] (Unpublished)

X

XIANG, HE (2022) Impact of the covid-19 epidemic on the relationship between R&D and firm performance - a comparative analysis of state-owned and non-state-owned enterprises in the Chinese pharmaceutical manufacturing industry and information technology industry. [Dissertation (University of Nottingham only)]

XU, MENGYANG (2019) The Determinants of Risk Disclosure in the Aviation Industry. [Dissertation (University of Nottingham only)]

XUE, MEI (2013) Risk disclosure: Analyzing the determinants of risk disclosure in the annual reports of UK and Hong Kong companies. [Dissertation (University of Nottingham only)] (Unpublished)

Xiang, Mingyu (2013) The Analysis of the Credit Risk and X-Efficiency for Commercial Banks in the Chinese Banking Industry. [Dissertation (University of Nottingham only)] (Unpublished)

Xie, Jingyi (2018) Comparative analysis of operational risk in Chinese and UK banking industries. [Dissertation (University of Nottingham only)]

Xie, Mingshan (2013) Loan Loss Provisioning Pratices in Asian Financial Systems. [Dissertation (University of Nottingham only)] (Unpublished)

Xie, Tingting/T (2019) Assessing Exchange Rate Predictability with Statistical and Economic Methods Criterions. [Dissertation (University of Nottingham only)]

Xiong, Jian (2007) Determinants of Risk Management in the UK Insurance Industry: An Empirical Study. [Dissertation (University of Nottingham only)] (Unpublished)

Xiong, Shuye (2013) The Use of Loan Loss Provisions for Capital Management, Earnings Management, and Procyclicality of Banks from UK and HK. [Dissertation (University of Nottingham only)] (Unpublished)

Xu, Chaoben (2014) Comparison between Static and Dynamic Models of Credit Risk Measurement: Evidence from Chinese Listed Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Xu, Lumeng (2018) An analysis of the determinants of the operational risk in Chinese commercial banks. [Dissertation (University of Nottingham only)]

Xue, Dongmei (2011) Loan Loss Provision and Pro-cyclicality: Evidence from Chinese Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Y

YANG, JIALI (2014) The determinants of bank liquidity: An empirical study on Chinese banks. [Dissertation (University of Nottingham only)] (Unpublished)

YIN, TAO (2018) An analysis of cost efficiency of Chinese Banking industry during the period of 2013-2017. [Dissertation (University of Nottingham only)]

YIN, ZEHUA (2013) The relationship between Idiosyncratic Risk and Stock Returns: Evidence from the UK market. [Dissertation (University of Nottingham only)] (Unpublished)

YIP, Ka Shing (2007) Is there any faviourite longshot bias in the Hong Kong racetrack betting market? [Dissertation (University of Nottingham only)] (Unpublished)

YIP, Ka Shing (2007) Is there any favourite-longshot bias in the Hong Kong racetrack betting market? [Dissertation (University of Nottingham only)] (Unpublished)

YU, BING (2019) Research on Risk Culture of Bank A. [Dissertation (University of Nottingham only)]

YU, LIN (2009) Credit Risk Management in Banking Institutions: Comparison between Chinese Banks and UK Banks. [Dissertation (University of Nottingham only)] (Unpublished)

YU, Tianyi (2011) Comparing of pre- and post- financial crisis credit risk disclosure in banking institutions. [Dissertation (University of Nottingham only)] (Unpublished)

YU, Yang (2006) Value-At-Risk: Effective and Accurate Risk Management of China's Stock Index. [Dissertation (University of Nottingham only)] (Unpublished)

YU, Yang (2006) Value-At-Risk: Effective and Accurate Risk Management of China's Stock Index. [Dissertation (University of Nottingham only)] (Unpublished)

YUANQIAN, ZHANG (2010) Investigation of risk management and crisis management which is based on three cases of real-life business. [Dissertation (University of Nottingham only)] (Unpublished)

Yampolskaya, Natalya (2006) Risk Disclosure in UK Companies Annual Reports. [Dissertation (University of Nottingham only)] (Unpublished)

Yang, Chu Yu (2013) An Analysis of Bank’s Loan Loss Provision Behaviour: A Comparative Study of Thailand and the Philippines. [Dissertation (University of Nottingham only)] (Unpublished)

Yang, Fengmian (2022) Risk management in Chinese banks during the pandemic of Covid-19. [Dissertation (University of Nottingham only)]

Yang, Lan (2019) How Does Economic Policy Uncertainty Affect Performance and Risk?Evidence from the U.S. Banking Industry. [Dissertation (University of Nottingham only)]

Yang, Mei (2009) Identify the Risk Factor in Asset Pricing: Total Skewness in Chinese Stock Markets. [Dissertation (University of Nottingham only)] (Unpublished)

Yang, Suyu (2022) How does FinTech investment affect banks' returns and risks? Evidence from China’s banks. [Dissertation (University of Nottingham only)]

Yang, Xufeng (2006) Risk Management in Insurance Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Yang, Yingru (2019) Risk Management of Life Insurance Companies in China. [Dissertation (University of Nottingham only)]

Yang, Yunhan (2013) Chinese Real Estate Market Risk Measure by Value-at-Risk: an Empirical Study on Real Estate Market of Beijing and Chongqing. [Dissertation (University of Nottingham only)] (Unpublished)

Yap, Hui Ying (2011) A Study of Risk Disclosures in the Annual Reports of UK and Malaysian Companies. [Dissertation (University of Nottingham only)] (Unpublished)

Yazji, Alexander (2012) Corporate Governance and Risk Management in Healthcare Institutions: Application in the National Health Service. [Dissertation (University of Nottingham only)] (Unpublished)

Ye, Yutong (2018) Loan loss provisions, Capital and Earnings Management: Evidence from German Banks. [Dissertation (University of Nottingham only)]

Yibo, Wang (2015) An empirical study of determinants of market response to initial operational loss events disclosure: Evidence from US bank and non-bank financial institutions. [Dissertation (University of Nottingham only)] (Unpublished)

Yin, Rui (2014) The Analysis of Systemic Risk of Commercial Banks in China Using CoVaR. [Dissertation (University of Nottingham only)] (Unpublished)

Yuanhao, Zhu (2022) A study of risk spillover effects of nonferrous metal futures across markets - Empirical evidence from China and UK markets. [Dissertation (University of Nottingham only)]

Yuen, Lok Hin David (2011) Evaluating different Value-at-Risk calculation methods: Are the Hong Kong Listed Banks’Market Risk Disclosures consistent with the performance? [Dissertation (University of Nottingham only)] (Unpublished)

Z

ZHAI, JIN (2007) Application of Real Option Analysis to Pharmaceutical R&D Project. [Dissertation (University of Nottingham only)] (Unpublished)

ZHANG, SHAODI (2011) Risk Disclosures in UK insurance companies' annual reports. [Dissertation (University of Nottingham only)] (Unpublished)

ZHANG, YU (2013) The Demand for Reinsurance in U.K. Non-Life Insurance Industry: Theory and Empirical Tests. [Dissertation (University of Nottingham only)] (Unpublished)

ZHOU, SHIPING (2018) The Effects of Environmental Regulation on Industrial Structure Changes in coastal regions of China. [Dissertation (University of Nottingham only)]

ZHOU, YUBING (2022) An Empirical Study of Credit Risk Determinants in UK Banks. [Dissertation (University of Nottingham only)]

ZHU, LI (2013) Analysis In-depth People Risk in the Stated Commercial Banks in China and Its Management. [Dissertation (University of Nottingham only)] (Unpublished)

ZOU, YINAN (2013) Analyzing Risk Determinants in Banks: An Empirical Investigation from UK. [Dissertation (University of Nottingham only)] (Unpublished)

Zachariadou, Antonia (2010) Risk Classification and Automobile Insurance Premiums – A study on the Perceptions of Cypriot Policyholders on the Fairness of Automobile Risk Classification Variables. [Dissertation (University of Nottingham only)] (Unpublished)

Zhai, Junyi (2013) Stock Valuation- Incorporating New Measures into the Traditional Methods. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Jiamin (2017) Operational Risk Management in Financial Institutions. [Dissertation (University of Nottingham only)]

Zhang, Jiayin (2006) THE IMPACT OF THE INTERNET ON INSURANCE INDUSTRY: COMPETITION AMONG ONLINE INTERMEDIARIES. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Jiaying (2007) Credit Risk Management System in China Construction Bank and Application of CreditMetrics. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Jie (2009) Risk disclosures in U.S. non-financial companies’ annual reports: Comparisons among three different industries. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Jie (2009) Risk disclosures in U.S. non-financial companies’ annual reports: Comparisons among three different industries. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Lan (2011) Risk Management in Banking:The Tendency of Risk Management Development and Changes in Financial Crisis. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Lei (2006) Credit Risk Management in Chinese Banking Industry. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Pengsiman (2014) Exploring the Changes of Individual Risk Attitude in Cooperation Situations: An Experimental Study in China. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Wei (2019) Analysis of risk management practices in European countries. [Dissertation (University of Nottingham only)]

Zhang, Ximeng (2012) Corporate Demand for Reinsurance: Evidence from the United Kingdom Motor Reinsurance Market. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Yang (2010) A Statistical Approach to Test Technical Trading Rules. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Yinzi (2011) Risk Management in Small and Medium Enterprises. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Zhu (2009) The Impact of Foreign Exchange Rate Risk on China’s Commercial Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Zhang, Zihan (2006) An investigation on substitutability between banksaving and insurance in Chinese context. [Dissertation (University of Nottingham only)] (Unpublished)

Zhao, Chenjing (2009) Operational Risk Management in the UK Banking Industry: The Enlightenment for Chinese Banks. [Dissertation (University of Nottingham only)] (Unpublished)

Zhao, Hanyi (2022) A study of Chinese consumers' online purchase intention based on Technology Acceptance Model and perceived risk. [Dissertation (University of Nottingham only)]

Zhao, Jing (2022) A study of credit risk measurement models:Evidence from Chinese listed companies. [Dissertation (University of Nottingham only)]

Zhao, Kehan (2013) Impact of IFRS on Bank’s Loan Loss Provision Decision: An Empirical Study of Hong Kong SAR and Japan. [Dissertation (University of Nottingham only)] (Unpublished)

Zhao, Tianqi (2022) Corporate Social Responsibility and Corporate Risk: Evidence from European. [Dissertation (University of Nottingham only)]

Zhao, Xinran (2014) An Empirical Study on Value-at-Risk and Backtesting VaR Models. [Dissertation (University of Nottingham only)] (Unpublished)

Zheng, Anqi (2012) Factors Influencing Consumer-Perceived Risk in E-Commerce Transactions in China. [Dissertation (University of Nottingham only)] (Unpublished)

Zhenxia, Wu (2009) Trust and Reciprocity: A Cross-Cultural Study. [Dissertation (University of Nottingham only)] (Unpublished)

Zhou, Hui (2022) Credit Risk Management and Financial Performance of Commercial Banks in the UK. [Dissertation (University of Nottingham only)]

Zhou, Mo (2006) Explore VaR implementation in the Chinese Bank Context and Risk Management Officers' Understanding. [Dissertation (University of Nottingham only)] (Unpublished)

Zubiy, Irina (2014) Operational Risk Escalation: An Empirical Analysis of Financial Services. [Dissertation (University of Nottingham only)] (Unpublished)

This list was generated on Fri Apr 19 23:13:56 2024 UTC.