New Dimensions of Country Risk in the Context of the Current Crisis: A Case Study for Romania and Greece
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- Type
- article
- Published
- 2010-11-01
- Cited by
- 49
- References
- 15
- Access
- Open access
- OpenAlex
- https://openalex.org/W187758821
- Semantic Scholar
- https://api.semanticscholar.org/CorpusID:150736983
Keywords
Context (archaeology), European union, Globalization, Attractiveness, Position (finance)
References
- The Residual Value Models: A Framework for Business Administration
- Proposition d'un cadre d'analyse du risque-pays dans le contexte de la mondialisation
- A Holistic Framework for Measuring a Bank’s Financial Health
- WHO NEEDS CAPITAL-ACCOUNT CONVERTIBILITY?
- The Greek capital market : caught in between poor corporate governance and market inefficiency
- Sovereign Risk Analysis
- How small are the banking sectors in central and Eastern European countries really
- Social disclosure rating system for assessing firms' CSR reports
- Practical aspects of implementing a Basel II‐compliant economic capital framework
- Risk‐based capital requirements and their impact upon the banking industry: Basel II and CAD III
- AA1000 and SA8000 compared: a systematic comparison of contemporary accountability standards
- Contagion in Latin America: Definitions, Measurement, and Policy Implications
- Internal Auditors’ Assessment of their Contribution to Financial Statement Audits: The Relation with Audit Committee and Internal Audit Function Characteristics
- European banking: An overview
Cited by
- Impact of Economic Crisis on Municipal Budgets in the Czech Republic
- Systemic financial crises : a cluster analysis
- Responses of Monetary Authorities in Emerging Economies to International Financial Crises: What Do We Really Know?
- Way of Banking Development Abroad: Branches or Subsidiaries
- Systemic Financial Crisis: A Cluster Analysis
- Bad Government as a Reason of Recent Financial Crisis in Europe
- A Microeconomic Approach of a Company’s in a Competitive Environment
- The determinants of capital structure in emerging capital markets : evidence from Serbia
- A Financial Econometric Analysis of the Determinants of Interest Rate Risk in the US
- THE ROLE OF THE ACCOUNTING AND AUDIT STANDARDS IN THE GLOBALIZATION PROCESS
- Impact of Global Economic Crisis on the European Welfare States
- Financial Development and Economic Growth: A Revised Empirical Study for Ireland
- The Policy Responses and Implications of the Global Financial Crisis in Asia: A Case Study for Malaysia
- Financial Sector and Business Cycles Determinants in the EMU: An Empirical Approach (1996-2011)
- How small are the banking sectors in central and Eastern European countries really
- Applications of §®-GARCH Model for the Selection of Securities of Banks¡¯ Investment Portfolio
- Risk Assessment in the Context of Internal Audit in Greek Listed Companies at Athens Stock Exchange
- The Impact of Financial Structure on the Performance of European Listed Firms
- Value and Governance of the Brazilian Corporations: How is the Relationship between these Variables?
- The determinants of capital structure choice: Evidence from Western Europe
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