Uncertainty and Challenges in Contemporary Economic Behaviour - Couverture rigide

Livre 1 sur 2: Emerald Studies in Finance, Insurance, and Risk Management
 
9781800430969: Uncertainty and Challenges in Contemporary Economic Behaviour

Synopsis

Every day presents new challenges as the face of global economics changes. But in a world of uncertainty, how is the world of finance and economics adjusting to address these new issues?

In this first book in the Emerald Studies in Finance, Insurance, and Risk Management, expert contributors from around the world come together to discuss and address the emerging issues in global economics. Including chapters on international migration in Europe, theories on finance and accounting, labour studies, international economic policy and its effect, affecting factors on financial and capital markets, and the relationship between internal stock markets, Uncertainty and Challenges in Contemporary Economic Behaviour tackles the questions, concerns, and fears of the modern face of global economics.

A fundamental text for any researcher or student of business and economics, this exciting new series investigates and examines some of the most prevalent questions in contemporary economics.

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À propos de l?auteur

Ercan Özen received his BSc in Public Finance (1994), MSc in Business-Accounting (1997), PhD in Business Finance (2008) from University of Afyon Kocatepe. Now he is Associate Professor of Finance in the Department of Banking and Finance, School of Applied Sciences, University of Uşak, Turkey. His current research interests include different aspects of Finance. He has (co-) authored three book chapters and more than 40 papers, more than 30 conferences participation, member in International Program Committee of three conferences and workshops. He is Chair of International Applied Social Sciences Congress. Dr Özen is certificated Accountant, member of Aegon Finance Association and member of TEMA (Turkey Combating Soil Erosion for Reforestation and the Protection of Natural Resources Foundation).

Dr. Simon Grima, Ph.D (Melit.), MSc (Lond), MSc (BCU), B.Com (Hons) (Melit.), FFA, FAIA (Acad), is the Head of the Insurance Dept, in charge of the undergrad and postgrad degree in Insurance and Risk Management and a Senior Lecturer at the University of Malta. He served as the President of the Malta Association of Risk Management (MARM) and the Current President of the Malta Association of Compliance Officers (MACO). Moreover, he is among the first Certified Risk Management Professional (FERMA), is the Chairman of the Scientific Education Committee of PRIMO and served as a member of the curriculum development team of PRIMIA. His research focus and consultancy is on Internal Controls (i.e. Risk Management, Internal Audit and Compliance) and has over 25 years of experience varied between Financial Services and with public entities in Internal Controls, Investments and IT. He acts as an Independent Director for Financial Services Firms sits on Risk, Compliance, Procurement, Investment and Audit Committees and carries out duties as a Compliance Officer, Internal Auditor and Risk Manager.

Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.