The rapid growth of financial technologies (FinTech) has introduced innovative solutions that enhance efficiency and competitiveness in global financial systems. Managing risk in FinTech ecosystems requires strategic frameworks that balance innovation with security, and consumer trust. These frameworks provide structured approaches to identifying and assessing risks associated with cybersecurity and data privacy. By aligning risk management strategies with technological advancements and evolving regulations, companies can foster sustainable growth and stability. Strategic Frameworks for Managing Risk in FinTech Ecosystems explore the crucial intersection of FinTech and risk management. This book addresses the growing demand for sustainable finance solutions and the role of Fintech in driving this transformation. Covering topics such as finance, risk management, and technological advancements, this book is an excellent resource for business leaders, researchers, academicians, and more.
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As an active researcher, Dr. Syed Mohammad Faisal has contributed more than 120 research papers of international repute and three books in finance. His present research covers several distinct areas of both applied and hypothetical econometrics. Working as an Assistant Professor Dept. of Accounting and Finance at Jazan University, KSA, and he is an Indian national possess a total working experience of more than 20 years, of which more than 19 years have been in teaching and one year in Industry in his initial phase of career. He guided many projects and dissertations and published various research papers, Scopus Indexed, Clarivate, UGC, and ISI (scientific) journals. He also presented papers of international repute and chaired many Scopus Indexed conferences . He guides various research scholars as a co-guide in Islamic Finance and Banking. Having profound experience in working with accreditation bodies such as COE, NCAAA, UGC, AICTE etc. His core competemcies in SPSS, Smart PLS-4, E-Views, Stata, AMOS etc.
Ahmad Khalid Khan is an esteemed Professor (Assistant) in the Department of Management at Jazan University, Kingdom of Saudi Arabia. With a profound expertise in Business Management, Dr. Khan has made significant academic contributions and has earned recognition for his in-depth research and innovative teaching methods. As an Indian national, he holds a doctorate and postgraduate degree from Aligarh Muslim University, India, renowned for its academic excellence. Additionally, Dr. Khan has further honed his skills with an Advanced Certificate in Financial Accounting and Analysis from the London School of Business and Finance, United Kingdom, equipping him with global perspectives. Throughout his academic journey, Dr. Khan has actively contributed to the global academic community, presenting his research at prestigious international conferences at Oxford University and Cambridge University and in countries like Jordan, Bahrain, India, and Indonesia. In addition to his conference presentations, Dr. Khan has contributed to multiple book chapters, enriching the literature with his insights. His scholarly work has been extensively published in internationally reputed research journals, further cementing his position as a recognized Business Management figure. His research, which blends theoretical foundations with practical applications, has been instrumental in advancing knowledge and promoting best practices in financial and managerial disciplines. Dr. Khan’s dedication to education, research, and scholarly collaboration has made him a respected academic mentor. He inspires students and peers alike to strive for excellence. His ongoing research endeavors and academic leadership continue to impact the field of Business Management both regionally and internationally.
Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.
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Taschenbuch. Etat : Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - The rapid growth of financial technologies (FinTech) has introduced innovative solutions that enhance efficiency and competitiveness in global financial systems. Managing risk in FinTech ecosystems requires strategic frameworks that balance innovation with security, and consumer trust. These frameworks provide structured approaches to identifying and assessing risks associated with cybersecurity and data privacy. By aligning risk management strategies with technological advancements and evolving regulations, companies can foster sustainable growth and stability. Strategic Frameworks for Managing Risk in FinTech Ecosystems explore the crucial intersection of FinTech and risk management. This book addresses the growing demand for sustainable finance solutions and the role of Fintech in driving this transformation. Covering topics such as finance, risk management, and technological advancements, this book is an excellent resource for business leaders, researchers, academicians, and more. N° de réf. du vendeur 9798337329819
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Taschenbuch. Etat : Neu. Strategic Frameworks for Managing Risk in FinTech Ecosystems | Syed Mohammad Faisal (u. a.) | Taschenbuch | Englisch | 2026 | IGI GLOBAL SCIENTIFIC PUBLISHING | EAN 9798337329819 | Verantwortliche Person für die EU: Libri GmbH, Europaallee 1, 36244 Bad Hersfeld, gpsr[at]libri[dot]de | Anbieter: preigu Print on Demand. N° de réf. du vendeur 135565284
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