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The Future of Risk Management, Volume II

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Cover of 'The Future of Risk Management, Volume II'

Table of Contents

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    Book Overview
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    Chapter 1 Risk Management Instruments Offered by P2P Lending Platforms. A Cross-Country Empirical Analysis Based on a Scoring System
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    Chapter 2 Equity Crowdfunding and Risk Management: The Attitude of Italian Platforms
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    Chapter 3 Fair Value Measurement Under Level 2 Inputs: Do Market and Transaction Multiples Catch Firm-Specific Risk Factors?
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    Chapter 4 Non-financial Information and Risk Disclosure: Compliance Levels with Mandatory Requirements in the Italian Market
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    Chapter 5 Mutual Correlation and Interaction on Capital Markets in Countries of Development, Certain EU Member Countries and Development Countries: Evidence of Federation of Bosnia and Herzegovina
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    Chapter 6 Who Uses Trade Finance? Case-Based Evidence from Italian Exporters
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    Chapter 7 Patient Investors Taxonomy: A Behavioral Approach
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    Chapter 8 A Nonlinear Approach to Assess the Risk–Reward Ratio Using the Machine Learning Technique
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    Chapter 9 Board Diversity, Risk Management and Efficiency Evaluation: Evidence from European Listed Manufacturing Companies
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    Chapter 10 An Examination of Factors Affecting Excess Liquidity, Evidence from Islamic Banks in Malaysia
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    Chapter 11 Going Beyond Formalization: Effective Risk Management in a Medium Company
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    Chapter 12 Between Climate and Social Changes: How to Struggle Against Adverse Conditions in the Coffee Industry
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    Chapter 13 Direct Compensation and Risk Management: A Key Study from the Insurance Sector
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    Chapter 14 Sharing Economy Risks: Opportunities or Threats for Insurance Companies? A Case Study on the Iranian Insurance Industry
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    Chapter 15 Integrated Communication for Start-Ups Toward an Innovative Framework
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    Chapter 16 Thinking Food Safety: The Consumers’ Perception
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    Chapter 17 Product Risks and Life Cycle
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