More experience sharing across countries that have already introduced models and strategies to train inspectors in addressing these issues (e.g., Denmark and Finland), and supporting businesses in implementing good practices, should be pursued. It is also interesting to note here that two standards ...
Stakeholder management strategies at the portfolio level could then be analyzed based on how they influence the risk associated with the project portfolio. Finally, the findings help differentiate between portfolio risk, the financial risk taken on by the organization derived from the investment in the...
This is the risk of loss when all your funds are allocated in too few investments. This may occur organically for an investor who gets paid in their company stock. Over time, they accumulate so much that it makes up a large percentage of their portfolio. For others, it is an intentional...
Product verticalization and cross-selling are important strategies that neobanks have to expand, but in EMs, disproportionately larger low-income populations constrain neobanks’ pricing power and their ability to pass through costs to customers during volatile changes in interest rates like those witnes...
Improving our understanding of how contextual factors interact to reduce or promote resilience through exposure and sensitivity, spanning from the individual to the societal level, will enable effective strategies to meet the needs of older adults in our changing climate. Fewer studies focused on ...
The positioning of the different land uses, with steep forests in the north, flat rice fields in the south, and villages located on the mountain edge, was illustrated using traditional knowledge for environmental adaptation strategies of Korean people, named “the location with back to the ...
(New York, NY, USA). We use CEO remuneration data, U.S. bank financial data, and stock price data from the ExecuComp, BvD Orbis, and CRSP-COMPUSTAT databases. The objective of our study is to illustrate the mechanism responsible for how a banker’s compensation influences the bank’s ...
This study examines how airlines in the United States report risk at a difficult and uncertain time as a result of the COVID-19 pandemic. The fundamental differences between the years 2019 and 2020 are identified using Leximancer, which is used to locate
This study conducts a systematic review of safety risk models and theories by summarizing and comparing them to identify the best strategies that can be adopted in a digital ‘conceptual’ safety risk model for highway workers’ safety. A mixed philosophical paradigm was adopted (that used both ...
The set of game strategies of mask suppliers is {deposit order, full order}, and the set of game strategies of mask retailers is {maintain cooperation, terminate cooperation}, where the probability of mask suppliers choosing deposit order and the full order is k and 1-k, respectively, and ...