Detalles de la obra

Título:
Risk management in public administration
Autor(es):
Raczkowski, Konrad, ed.
Pie de imprenta:
[New York]: Palgrave Macmillan, c2017
Descripción física:
xxii, 448 p. grafs. 22 x 16 cm.
Idioma:
Inglés
ISBN:
978-3-319-30876-0
Resumen:
Contiene: 1. What does risk management in an economy really mean?.- 2. Elimination of exchange rate risk in TTIP by inclusion of a clause linking dollar and euro.- 3. The effect of countries credit ratings on credit default swap spreads.- 4. Risk analysis as an instrument of public management.- 5. Multidimensionality of risk in public safety management processes.- 6. Early warning concept in identifying risks in business activity.- 7. Risk perception in the activity of social enterprises.- 8. Identification of risks related to the operations in the internet.- 9. Intellectual capital risk management for knowledge-based organizations.- 10. Regulatory risk in the EU banking sector.- 11. The financial distress of public sector entities, causes and risk factors. Empirical evidence from Europe in the post-crisis period.- 12. Impact of insurance companies investment policy on risk management in the public sector.- 13. Personal income tax and the risk of revenue fluctuations in the European Union.- 14. VAT fraud in selected European Union countries and its possible macroeconomic implications.
Referencias bibliográficas:
Incluye Bibliografía
Ubicación física:
658.155 / RAC
Tipo de material:
[Material Impreso]