Results for risk

  • Articles
    • Thibeault A. 2009. Systemic Risk or Not?. The Financial Executive Quarterly. (47)
    • Nathan A.   Thibeault A. 2003. An illustration in the teaching of financial and risk management in commercial banks. Financieel Economisch Magazine Nyenrode. 6 (3)
    • Thibeault A. 2002. Credit risk management: from individual risks to portfolio risk. Fiducie. (Spring) The University of Amsterdam.
    • Verbeke W.   Van Kenhove P. 2002. Impact of emotional stability and attitude on consumption decisions under risk. Journal of Health Communication. 7 (4) : 455 -472.
    • Thibeault A. 2001. Financial Risk management. Fiduciair. Universiteit Nyenrode.
    • Cornelius P. 2000. Trade in Financial Services, Capital Flows, and the Value-at-Risk of Countries. The World Economy. 26 (5)
    • Thibeault A. 1998. Credit risk management: from individual risks to portfolio risk. PECUNIA Magazine. (Summer) Erasmus Universiteit Rotterdam.
    • Thibeault A. 1996. Modelisation of Bank Risk Management. Revue de la Banque/Bank- en Financiewezen. (Jan/Feb)
    • Van den Berghe L.A.A. 1994. The Future of Risk Education- Future trends in risk management: A European Perspective. Risk Management. 2 p.
  • Books
    • Van Gestel T.   Baesens B. 2009. Credit risk management: basic concepts: financial risk components, rating analysis, models, economic and regulatory capital. Oxford University Press.
    • Thibeault A. 2003. Bank Financial Risk Management: Twelve on-line modules. The Institute of Canadian Bankers.
  • Book Chapters
    • Verweire K.   Van den Berghe L.A.A. 2004. Managing Risk, Managing Value. In Verweire, K. & Van den Berghe, L.A.A. (Eds.). Integrated Performance Management: A guide to strategy implementation. 69 -84. Sage Publications.
    • Baesens B.   Setiono R.   Mues C.   Viaene S.   Vanthienen J. 2001. Building intelligent credit-risk evaluation expert systems using neural network rule extraction and decision tables. In Vandenbulcke, J., Snoeck, M.. New directions in software engineering. 12 p. Universitaire Pers Leuven.
    • Cornelius P.   Schwab K. 2001. Sustainability, Vulnerability, and Risk Management. In Ghosh, B.N. (Ed.). Global Financial Crises and Reforms. Cases and Caveats. 356 -375. Routledge.
  • Working papers
    • Willekens M.   Vander Bauwhede H. 2004. Auditor reporting conservatism as a defence mechanism against increased post-Enron litigation risk. Research report 0419, KU Leuven.
    • Cornelius P. 2000. Reforming the Public Sector’s Risk Management in Emerging Markets. Development Discussion Paper No. 751. Harvard University, Harvard Institute for International Development. February 2000.
    • Joos P. 1994. Comparison between market determined and accounting determined measures of risk: an empirical assessment for the non-financial firms listed on the Brussels stock exchange. (3) : 35 p. Universiteit Gent-Faculteit Economische en Toegepaste Economische Wetenschappen.
  • Reports
    • Van den Berghe L.A.A.   Baeten X. 1995. Onderzoek naar de relevante evaluatiefactoren bij de besluitvorming inzake risk management en verzekering: determinanten van het keuzeproces inzake toeleveranciers. 11 p. VSM, feb. 1995.

  • Conference proceedings
    • Vereecke A.   Boeykens D.   Pandelaere E.   Hatem J.   Vreys E. 2009. The development of a simulation tool for Supply Chain Risk Assessment. Paper presented at the 2009 POMS (Production and Operations Management Society) Conference, Orlando (US), May 1-4.
    • Prahinski C.   Kocabasoglu C.   Klassen R. 2007. Investments in launching new products: the role of organizational risk propensity and stakeholders in program performance. 3421 -3426. Decision Sciences Institute (Proceedings), Phoenix, AZ.
    • Baesens B. 2006. Developing interpretable data mining decision models for credit risk. Saïd Business School, Oxford United Kingdom, June 29.
    • Setiono R.   Baesens B.   Mues C. 2006. Risk management and regulatory compliance: a data mining framework based on neural network rule extraction. 71 -85. Proceedings of the International Conference on Information Systems (ICIS 2006), Milwaukee, Wisconsin. Best Paper Design Track.
    • Willekens M.   Vander Bauwhede H. 2004. Auditor reporting conservatism as a defence mechanism against increased post-Enron litigation risk. American Accounting Association Midyear Auditing Section Conference, January 15-7, Clearwater, Florida, US.
    • Joos P. 1994. The comparison between market determined and accounting determined measures of risk : An empirical assessment for the non-financial firms listed at the Brussels stock exchange. 247 p. The 17th Annual Congress of the European Accounting Association, Venice, Italy, April 6-8, 1994.
    • Van den Berghe L.A.A. 1991. New developments in risk management. 13 p. Proceedings Conference University of Toyama, November 1991.

Number of search results: 28