Description
Risk affects many different companies, industries, and institutions, and the COVID-19 pandemic has caused more challenges than before to arise. In the wake of these new challenges, new risk management strategies must arise. Risk affects many companies differently, though in the aftermath of a global pandemic, similar management strategies may be adapted to maintain a flourishing business. Financial risk management has become increasingly important in the last years, and a profound understanding of this subject is vital.
The Handbook of Research on New Challenges and Global Outlooks in Financial Risk Management discusses the financial instruments firms use to manage the difference kinds of financial risks and risk management practices in a variety of different countries. This book offers an international focus of risk management, comparing different practices from all over the world. Covering topics such as bank stability, environmental assets, and perceived risk theory, this book is a valuable research source for regulatory authorities, accountants, managers, academicians, students, researchers, graduate students, researchers, faculty, and practitioners.
Author's/Editor's Biography
Mara Madaleno (Ed.)
Mara Madaleno
is Assistant Professor of Finance and Economics at the Department of Economics, Management, Industrial Engineering and Tourist at the University of Aveiro. Finished her Ph.D. in 2011 at the University of Aveiro in Economics. Director of the Master in Economics – Branches: Finance + Business Economics. Full researcher at the GOVCOPP – Research Unit on Governance, Competitiveness and Public Policies, and Vice-Coordinator of the research line SAD – Systems for Decision Support at GOVCOPP. She is also Vice-Director of the Master in Data Science for Social Sciences and Vice-Coordinator of Continua-UA . Her research interests include financial markets, financial economics, financial energy markets, environmental economics, energy and environment, sustainability. Participates in several research projects.
Elisabete Vieira (Ed.)
Elisabete Vieira is Coordinator Professor, ISCA-UA, University of Aveiro. She is researcher at the Research Unit on Governance, Competitiveness and Public Policies (GOVCOPP), being Vice Coordinator of the Competitiveness, Innovation and Sustainability (CIS) Research Group. She has a Ph.D. in Finance from the ISCTE, Lisbon. Her research topics include corporate finance, corporate behavior finance, and corporate governance.