Editorial: Governance, risks and rules between theoretical studies and empirical analyses
Open Access
- 22 January 2020
- journal article
- Published by Virtus Interpress in Risk Governance and Control: Financial Markets & Institutions
- Vol. 10 (1), 4-6
- https://doi.org/10.22495/rgcv10i1_editorial
Abstract
The first issue of the journal in 2020 (volume 10, issue 1) provides a careful analysis of the important field of research regarding the social indicators, the corporate governance system, risk analysis and risk management, disclosure and bank regulation. Specifically, the current issue pays attention of an index to measure the quality of the most important European cities, the evolution of Saudi Arabia corporate governance systems, the econometric approach to estimate the influence of interest rates and inflation rates on default rates of banks, the Canadian companies and risks firms disclose, the relevance of enterprise risk management (ERM) information disclosure in the US banking sector and the bank regulation of capital and risk management in the Europe and Central Asia region.Keywords
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