Number of items: 31.
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(Unpublished)
Cai, Xuanyan
(2011)
A comparative study of risk disclosures in the banking sector in China and UK.
[Dissertation (University of Nottingham only)]
(Unpublished)
Chen, Lujie
(2007)
Determinants of Capital Structure: An empirical study of UK firms.
[Dissertation (University of Nottingham only)]
(Unpublished)
Chi, Marcus
(2007)
Credit Risk Management in Banks of a Developing Economy: The Case of Cameroon.
[Dissertation (University of Nottingham only)]
(Unpublished)
Edward, Chikanma N.
(2009)
Reporting Risk: A Study of Risk Disclosures in the Annual Reports of Public Companies in the UK.
[Dissertation (University of Nottingham only)]
(Unpublished)
GAO, Wanwei
(2008)
Readability of Risk Disclosure: An Analysis of Chinese Overseas Listing Companies.
[Dissertation (University of Nottingham only)]
(Unpublished)
Guo, Di
(2007)
Key Determinants of Using Derivatives in the UK.
[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(Unpublished)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(Unpublished)
Kannan, M.K.
(2007)
Sarbanes-Oxley and Its Impacts on Mergers and Acquisitions.
[Dissertation (University of Nottingham only)]
(Unpublished)
Kim, Myungkyoo
(2007)
The Impact of Property Tax Increase on the Banking Sector in Korea with a Focus on the Value of Collateral.
[Dissertation (University of Nottingham only)]
(Unpublished)
Lei, Lei
(2007)
The audit risk associated with fraudulent accounting of listed companies in China: a case study.
[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(Unpublished)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(Unpublished)
Malyavantam, Yashas Sathyaprakash
(2009)
Implementation of Risk Management Systems In Investment banks.
[Dissertation (University of Nottingham only)]
(Unpublished)
Mammadyarov, Aliyar
(2008)
Challenges of the Banking systems of Oil Exporting Countries (Case of Azerbaijan).
[Dissertation (University of Nottingham only)]
(Unpublished)
Mavrou, Athina
(2009)
Risk Management in Commercial Banks in Cyprus.
[Dissertation (University of Nottingham only)]
(Unpublished)
ONG, Wei Jiin
(2006)
Corporate Governance Disclosure in Malaysia.
[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)
Rodrigues Da Costa, Victoria
(2009)
The Extent of Derivative Usage by Large Non-Financial Firms in Europe.
[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)
Savvidou, Nicoletta
(2009)
Market Risk Disclosure Practices of Banks: A Comparative Cross-country Analysis.
[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)
Tao, Ye
(2007)
How is Value at Risk used to measure the China's stock market risk?
[Dissertation (University of Nottingham only)]
(Unpublished)
Thomas, Gareth
(2006)
The Causes and Consequences of Differing Pensions Accounting Assumptions in UK Pension Schemes.
[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)
Wang, Han
(2007)
Risk Management in Banking Institutions: Comparison between Developed and Developing Countries.
[Dissertation (University of Nottingham only)]
(Unpublished)
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)
Yampolskaya, Natalya
(2006)
Risk Disclosure in UK Companies Annual Reports.
[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)
Zhao, Chenjing
(2009)
Operational Risk Management in the UK Banking Industry: The Enlightenment for Chinese Banks.
[Dissertation (University of Nottingham only)]
(Unpublished)
Zheng, Hao
(2008)
Current Credit Risk Management Practices in Chinese Banking Industry.
[Dissertation (University of Nottingham only)]
(Unpublished)
This list was generated on Sun Nov 24 13:58:53 2024 UTC.