Search Results - "risk management"

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  1. A systematic approach to enterprise risk management by Benjamin, Nicolas James

    Published 2015
    Subjects: “…Quantitative risk management…”
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    Thesis
  2. Term structure models with unspanned factors and unspanned stochastic volatility by Backwell, Alexander

    Published 2019
    Subjects: “…risk management…”
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    Thesis
  3. Estimating Long Term Equity Implied Volatility by Crawford, Danielle Ana

    Published 2020
    Subjects: “…risk management…”
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    Thesis
  4. Risk management and financial performance: empirical evidence from the Nigerian banking industry by Elisha, Douglas Enahoro

    Published 2025
    Subjects: “…risk management…”
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    Thesis
  5. An Ontology Framework for Addressing Cost Overrun through Risk Modeling: A Risk Path Approach by Elbashbishy, Tamima Sherif

    Published 2019
    Subjects: “…Risk Management…”
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    Thesis
  6. Investigating Nigeria's asset management corporation : a case study of a bad banking solution to banking crises by Ajewole, Oluseyi Joseph

    Published 2015
    Subjects: “…Financial and Risk Management…”
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    Thesis
  7. Potential impact of the Mineral and Petroleum Resources Development Amendment Bill on investment in South Africa's upstream oil and gas industry by Ellis, Maryke Louise

    Published 2015
    Subjects: “…Financial and Risk Management…”
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    Thesis
  8. An initial analysis of African Mutual Fund Fees and expenses by Wright, Graysen Gordon

    Published 2016
    Subjects: “…Financial and Risk Management…”
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    Thesis
  9. Separation of precious metal beta from a JSE multivariate model with macroeconomic variables by Mzobe, Thabani Bonginkosi

    Published 2016
    Subjects: “…Financial and Risk Management…”
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    Thesis
  10. Does Pairs trading work on the Johannesburg Stock Exchange? by Appelbaum, Matthew

    Published 2016
    Subjects: “…Financial and Risk Management…”
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    Thesis
  11. The value of financial advice : an analysis of the investment performance of advised and non-advised individual investors by Allie, Jahangir

    Published 2016
    Subjects: “…Financial and Risk Management…”
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    Thesis
  12. A Shariah compliant private equity fund : compatibility in South Africa by Cajee, Mohsin Ebrahim

    Published 2016
    Subjects: “…Financial and Risk Management…”
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    Thesis
  13. Analysis of South African listed real estate to serve as an inflation hedge versus other asset classes by Erasmus, Warren

    Published 2016
    Subjects: “…Financial and Risk Management…”
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    Thesis
  14. Optimal capital structure and share repurchases: a case study of Anglo American Plc by Chadderton, Marcus

    Published 2016
    Subjects: “…Financial and Risk Management…”
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    Thesis
  15. The use of recursive partitioning to build a financial distress prediction for JSE listed companies by Smit, Candice

    Published 2016
    Subjects: “…Financial and Risk Management…”
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    Thesis
  16. The impact of rights issues announcements on share price performance in South Africa by Van Der Merwe, Hein

    Published 2016
    Subjects: “…Financial and Risk Management…”
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    Thesis
  17. What are the determinants of non-performing loans in Botswana? by Tsumake, Gertrude Kgalalelo

    Published 2017
    Subjects: “…Financial and Risk Management…”
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    Thesis
  18. An analysis of why SAPPI Limited had to issue foreign denominated debt by Weimann, Dylan

    Published 2017
    Subjects: “…Financial and Risk Management…”
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    Thesis
  19. Persistence of alpha in South African general equity unit trusts by Hoch, Rowan Andrew

    Published 2018
    Subjects: “…Financial and Risk Management…”
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    Thesis
  20. The relative value relevance of book values, operating cash flows, EVA and earnings: A South African perspective by Muzhingi, Taurai

    Published 2019
    Subjects: “…Financial and Risk Management…”
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    Thesis