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Channels - The Risk of Deindustrialization of Germany :: FRELIP Discovery
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The poverty risk of East and South-East Asian migrant households in Germany: The role of human capital, employment, and intermarriage
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Artificial intelligence and autonomy at work: empirical insights from Germany
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Polarised upgrading: the changing occupational structure of large cities in Germany and the UK, 1991–2021
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Governmental venture capital – A social capital and principal-agent related examination for Belgium, The Netherlands, Luxembourg, Austria and Germany
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Wind-Induced Electric Power Interruption: A Review of Risk Source, Risk Exposure, and Risk Mitigation
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Management of Exchange Rate Risk in SMEs
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Risk-Based Governance for Autonomous Decision Systems
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The Impact of Regulatory Capital on Risk Taking By Pakistani Banks
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Evaluating the Heterogeneous Effect of Firm Risk on Firm Value
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Climate Risk, Financial Stability, and Global Capital Allocation: A Predictive Analytics Approach to Assessing Climate-Related Financial Risk in International Investment Markets
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The Risk of Loss of Health and Life According to the Opinion of Employees in the SME Sector
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The Role of Prior Disaster Experience in Shaping Risk Perception and Preparedness in Brazil
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GNN-Based Building Structure Characterization Framework for Seismic Risk Assessment
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Assessment of product quality risks by qualimetric methods using functionally dependent statistics
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Mean–trend risk portfolio selection with non-dominated sorting asset preselection
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Correction: GNN-Based Building Structure Characterization Framework for Seismic Risk Assessment
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Aging and Finance. A Literature Review on Risk Profiles, Decision-Making, and Investment Returns
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Sustaining Disaster Risk Reduction in Shrinking Cities: Policy Evidence from Rikuzentakata, Japan
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Fueling Fire-Adapted Communities Through a Rapid Wildfire Structure Risk Assessment
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Enhancing U.S. Financial Compliance and Risk Management through Data-Driven Automation and Anomaly Detection
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Real-time return extensions of realized GARCH models for improved risk management in asset markets
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Impact-Based Decision Making in Flood Risk Management: A Review of Behavioral and Technical Approaches
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Tobin-Q, Liquidity and Momentum risk-premia: A Demonstration of Weighted Least Squares Regression Approach
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The Moderating Role of Intellectual Capital between Relationship of Bank Specific Factors and Credit Risk of Islamic Banks