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Long-term financing and risk allocation
(2016-09)
This position paper reflects the perspective presented at the Workshop "Pensando o Futuro do Setor Energético Brasileiro" and focuses on issues related to creating conditions for long-term financing and its risks, including: ...
Una Revisión al Project FinanceUna Revisión al Project Finance
(Revista de Derecho Administrativo, 2016)
The effects of credit risk transfer on bank monitoring and firm financing
(Escola de Pós-Graduação em Economia da FGV, 2004-10-07)
This paper examines the efects of the transfer of credit risk associated with bank loans. We are interested in (a) whether the transfer of credit risk has any impact on the intensity with which banks monitor their borrowers ...
Risk dimensions in enterprises’ financial decisions
(Universidad Nacional de Misiones. Facultad de Ciencias Económicas. Programa de Posgrado en Administración, 2021-11)
Within the current conditions of the context, the managerial financial decisions involve five risk categories: Global Risk, Country Risk, Market Risk, Managerial Risk and Decisional Risk. These categories are always present ...
The effects of corporate bond granularity
(Elsevier Science Bv, 2016-02)
We investigate whether and how firms manage their rollover risk by having a dispersed bond maturity structure (granularity). Granularity can be achieved or maintained by frequently issuing sets of bonds with different ...
The universal principle of risk management: pooling and the hedging of risks [Financial markets]
(Yale University, Open Yale Courses, 2016)
The universal principle of risk management: pooling and the hedging of risks [Financial markets]
(Yale University, Open Yale Courses, 2011)