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مقاله ، پایان نامه ، رساله ، تز، کتاب - فروش مجموعه تز و پایان نامه در زمینه مدیریت ریسک
مقاله ، پایان نامه ، رساله ، تز، کتاب
دسترسی آسان و ارزان به مقاله ، پایان نامه ، تز و کتاب

قابل توجه دانشجویان و محققان حوزه مدیریت

 

مجموعه تز و پایان نامه حدود 108 پایان نامه از دانشگاههای معتبر جهان که در زمینه مدیریت ریسک می باشد به فروش می رسد.

 

این پایان نامه ها را بصورت کلی و جزئی میتوانید سفارش دهید.

 

در ادامه لیست پایان نامه ها و تزها را مشاهده می کنید.

1.
Using a framework of responsible risk management strategies to mitigate risks inherited in outsourcing
by Bains, Erica K., Ph.D., Walden University, 2009, 176 pages; AAT 3355026
› 63 references
Full Text - PDF (509 K)

2.
Budget and information technology project planning implementation in the federal government: An investigation of the relationship between risk management and oversight
by Thomas, Brian E., Ph.D., Capella University, 2008, 199 pages; AAT 3296722
Full Text - PDF (541 K)

3.
Contingent claim pricing with applications to financial risk management
by Chen, Hua, Ph.D., Georgia State University, 2008, 152 pages; AAT 3360625
› 130 references
Full Text - PDF (1 MB)

4.
Designing in uncertainty: The I-SASP model for tactical and innovative risk management in the hi-performing professional practice
by Georgoulias, Andreas, D.Des., Harvard University, 2008, 499 pages; AAT 3318233
Full Text - PDF (29 MB)

5.
Terrorism: A paradigm shift in business risk management
by Samuels, Errol, D.B.A., University of Phoenix, 2008, 201 pages; AAT 3350847
› 83 references
Full Text - PDF (4 MB)

6.
Building a semantics-assisted risk analysis (SARA) framework for vendor risk management
by Chou, Ling Yu, Ph.D., The Chinese University of Hong Kong (Hong Kong), 2007, 186 pages; AAT 3295706
Full Text - PDF (9 MB)

7.
Corporate risk management: Theory and empirical studies
by Wang, Xuequn, Ph.D., University of Alberta (Canada), 2007, 87 pages; AAT NR33089
Full Text - PDF (4 MB)

8.
Correlated failures, software diversification and information security risk management
by Kataria, Gaurav, Ph.D., Carnegie Mellon University, 2007, 161 pages; AAT 3279449
Full Text - PDF (7 MB)

9.
Creating optimal service delivery strategy of long-term service agreements from risk management perspective
by Lawsirirat, Chaipat, Ph.D., Rensselaer Polytechnic Institute, 2007, 256 pages; AAT 3299457
Full Text - PDF (1 MB)

10.
Essays on the interaction of operational and financial decisions: Financing and risk management perspectives
by Boyabatli, Onur, Ph.D., Institut Europeen d'Administration des Affaires (France), 2007, 176 pages; AAT 3298759
Full Text - PDF (9 MB)

11.
Institutionalizing information security risk management: A multi-method empirical study on the effects of regulation
by Spears, Janine L., Ph.D., The Pennsylvania State University, 2007, 238 pages; AAT 3299057
Full Text - PDF (11 MB)

12.
Internal control, enterprise risk management, and firm performance
by Tseng, Chih-Yang, Ph.D., University of Maryland, College Park, 2007, 140 pages; AAT 3277425
Full Text - PDF (1 MB)

13.
A comparative study of enterprise risk management and decision making criteria used in developing soccer-specific stadiums for Major League Soccer
by Sakiewicz, Edward Paul, I, Ph.D., Capella University, 2006, 155 pages; AAT 3237075
Full Text - PDF (614 K)

14.
A cross-culture study of risk management in software projects
by Cao, Xuke (Colin), M.Sc., Universite du Quebec a Rimouski (Canada), 2006, 83 pages; AAT MR20964
Full Text - PDF (4 MB)

15.
An optimization-based approach for facility energy management with uncertainties, and, Power portfolio optimization in deregulated electricity markets with risk management
by Xu, Jun, Ph.D., University of Connecticut, 2006, 68 pages; AAT 3221575
394 K)  Full Text - PDF (3 MB)

16.
Auditor risk management following audit failure
by Fafatas, Stephan A., Ph.D., University of Colorado at Boulder, 2006, 88 pages; AAT 3239393
Full Text - PDF (390 K)

17.
Development of prototype guidelines for risk management against terror attack in the tourism industry: A Delphi study
by Smith, Clifford Keith, Ph.D., Texas A&M University, 2006, 152 pages; AAT 3270816
Full Text - PDF (1 MB)

18.
Enterprise risk management and Sarbanes-Oxley compliance: A model of convergence in accounting audit practice
by Spicer, Ronald L., Ph.D., Capella University, 2006, 119 pages; AAT 3234980
Full Text - PDF (549 K)

19.
Imperfect hedging and risk management of equity-linked life insurance contracts
by Romanyuk, Yuliya V., Ph.D., University of Alberta (Canada), 2006, 111 pages; AAT NR23103
Full Text - PDF (4 MB)

20.
Information technology security risk management
by Ogut, Hulisi, Ph.D., The University of Texas at Dallas, 2006, 155 pages; AAT 3210675
Full Text - PDF (805 K)

21.
Opportunities and consequences of Basel II in the risk management of small and medium-sized companies
by Arrieta Sudupe, Juan Jose, Dr., Universidad de Deusto (Spain), 2006, 1268 pages; AAT 3222272
Full Text - PDF (64 MB)

22.
State-contingent insurance and risk management
by Azevedo Filho, Adriano J. B. V., Ph.D., Stanford University, 2006, 431 pages; AAT 3235176
Full Text - PDF (18 MB)

23.
Stochastic optimization for enterprise risk management
by Zhang, Zhuojuan, Ph.D., Princeton University, 2006, 224 pages; AAT 3208901
Full Text - PDF (2 MB)

24.
Three essays on high frequency financial data and their use for risk management
by Pacurar, Maria, Ph.D., Universite de Montreal (Canada), 2006, 152 pages; AAT NR23940
Full Text - PDF (7 MB)

25.
Analysis of risk management practices and litigation status in aquatic centers
by Hsiao, Richard, Ph.D., The Florida State University, 2005, 139 pages; AAT 3183072
Full Text - PDF (2 MB)

26.
A study of the risk management practices of Historically Black College athletic directors
by Hunter, Calvin, D.S.M., United States Sports Academy, 2005, 98 pages; AAT 3306419
Full Text - PDF (4 MB)

27.
Calibration of multivariate generalized hyperbolic distributions using the EM algorithm, with applications in risk management, portfolio optimization and portfolio credit risk
by Hu, Wenbo, Ph.D., The Florida State University, 2005, 115 pages; AAT 3216607
Full Text - PDF (1 MB)

28.
Dynamic learning effect in corporate finance and risk management
by Abasov, Teimur Mitat, Ph.D., University of California, Irvine, 2005, 156 pages; AAT 3167917
Full Text - PDF (5 MB)

29.
Economics of production and risk management in dryland crops
by Karuaihe, Raphael Nicholas, Ph.D., Washington State University, 2005, 75 pages; AAT 3209184
Full Text - PDF (3 MB)

30.
E-mail risk management. Issues and challenges related to records retention and electronic discovery
by Franks, Patricia C., Ph.D., Capella University, 2005, 257 pages; AAT 3159701
Full Text - PDF (910 K)
31.
Enterprise risk management, adverse selection, and the insurance industry
by Zhang, Tao, Ph.D., The University of Mississippi, 2005, 133 pages; AAT 3190585
Full Text - PDF (5 MB)

32.
Essays in corporate risk management
by Lookman, Aziz A., Ph.D., Carnegie Mellon University, 2005, 117 pages; AAT 3169447
Full Text - PDF (7 MB)

33.
Essays on currency risk management
by Elsawaf, Nehad, Ph.D., Old Dominion University, 2005, 188 pages; AAT 3191383
Full Text - PDF (8 MB)

34.
Essays on corporate risk management and governance
by Lel, Ugur, Ph.D., Indiana University, 2005, 133 pages; AAT 3183922
Full Text - PDF (6 MB)

35.
Essays on risk management and dependence across stock markets
by Wang, Xuelian, Ph.D., State University of New York at Albany, 2005, 138 pages; AAT 3183885
Full Text - PDF (6 MB)

36.
Essays on corporate risk management and stock offers in mergers
by Zhao, Longkai, Ph.D., The University of British Columbia (Canada), 2005, 164 pages; AAT NQ99574
983 K)  Full Text - PDF (9 MB)

37.
Insurer risk management and optimal reinsurance
by Krvavych, Yuriy, Ph.D., University of New South Wales (Australia), 2005, 248 pages; AAT 3209755
588 K)  Full Text - PDF (8 MB)

38.
Intertemporal risk management decisions of farmers under preference, market, and policy dynamics
by Du, Wen, Ph.D., Washington State University, 2005, 263 pages; AAT 3176463
174 K)  Full Text - PDF (871 K)

39.
Methods for market analysis, risk management and finance in the deregulated power industry
by Jiang, Ning, Ph.D., The University of Texas at Austin, 2005, 107 pages; AAT 3215923
Full Text - PDF (1 MB)

40.
New approaches to risk management and scenario approximation in financial optimization
by Bychkov, Maksym, Ph.D., The University of Tennessee, 2005, 206 pages; AAT 3197598
Full Text - PDF (981 K)

41.
Risk management in energy markets
by Kolos, Sergey Pavlovitch, Ph.D., The University of Texas at Austin, 2005, 177 pages; AAT 3203643
Full Text - PDF (1 MB)

42.
Robust supply chain design mechanisms: Applications to risk management, coordination, and multiple-modular design
by Zhu, Wanshan, Ph.D., University of Michigan, 2005, 136 pages; AAT 3192833
Full Text - PDF (5 MB)

43.
Software development risk management in information technology developing countries: An assessment on subjective and objective performance
by Singh, Tushar, M.S.M., The University of Alabama in Huntsville, 2005, 48 pages; AAT 1429540
Full Text - PDF (2 MB)

44.
The implication of international risk management factor for the relationship between top management team demographic composition and firm performance
by Auden, William C., Ph.D., Touro University International, 2005, 196 pages; AAT 3203671
Full Text - PDF (6 MB)  Supplemental files

45.
Three essays on risk management
by Triki, Thouraya, Ph.D., Universite de Montreal (Canada), 2005, 168 pages; AAT NR10800
Full Text - PDF (13 MB)

46.
An empirical study of the effects resources contributed by firms have on their objectives and orientations in a strategic alliance: A resource and risk management perspective
by Williams, Joseph A., D.B.A., Nova Southeastern University, 2004, 172 pages; AAT 3126008
Full Text - PDF (9 MB)

47.
A risk management approach to ensuring reliable transmissions of co-located wireless systems in the healthcare environment
by Majchrowski, Barbara K., M.H.Sc., University of Toronto (Canada), 2004, 105 pages; AAT MQ95193
Full Text - PDF (4 MB)

48.
Assessment of risk management perceptions and practices of construction contractors in Saudi Arabia
by Al-Salman, Ali Abdullah, M.S., King Fahd University of Petroleum and Minerals (Saudi Arabia), 2004, 135 pages; AAT 1421849
Full Text - PDF (4 MB)

49.
Empirical studies on risk management of investors and banks
by Angerer, Xiaohong W., Ph.D., The Ohio State University, 2004, 147 pages; AAT 3141731
Full Text - PDF (3 MB)

50.
Essays in multiperiod risk management with information updating
by Sinclair, Sven, Ph.D., University of Pennsylvania, 2004, 142 pages; AAT 3125900
Full Text - PDF (5 MB)

51.
International financial networks and global supply chains: A unified framework for decision-making, optimization, and risk management
by Cruz, Jose M., Ph.D., University of Massachusetts Amherst, 2004, 236 pages; AAT 3136718
Full Text - PDF (15 MB)

52.
Managers' knowledge of equal employment opportunity (EEO) and risk management
by Knox, Ingrid Denise, D.M., University of Phoenix, 2004, 345 pages; AAT 3144874
Full Text - PDF (14 MB)

53.
Price risk management in Alberta pork production: Current practices, obstacles and improvement strategies
by Dowell, Brad, M.Sc., University of Guelph (Canada), 2004, 207 pages; AAT MQ90641
Full Text - PDF (10 MB)

54.
Regulatory risk management in commercial banking: An empirical investigation of agency theory
by Porter, Robert L., Ph.D., Rutgers The State University of New Jersey - Newark, 2004, 134 pages; AAT 3131773
Full Text - PDF (6 MB)

55.
Risk management health care practices in NCAA athletic programs
by Slack, David A., Ed.D., The University of Utah, 2004, 140 pages; AAT 3143972
Full Text - PDF (8 MB)

56.
The current state of project risk management practices among risk sensitive project management professionals
by Voetsch, Robert James, Ph.D., The George Washington University, 2004, 559 pages; AAT 3112236
2 MB)  Full Text - PDF (50 MB)

57.
A study of effective risk management practices in higher education
by Harwell, Rickey D., Ed.D., Baylor University, 2003, 133 pages; AAT 3081132
Full Text - PDF (5 MB)

58.
Compassion connection: Risk management for health care professionals
by Wicks, Linda, Psy.D., Azusa Pacific University, 2003, 154 pages; AAT 3103520
Full Text - PDF (6 MB)

59.
Corporate diversification and risk management
by Kim, Young Sang, Ph.D., Southern Illinois University at Carbondale, 2003, 150 pages; AAT 3105706
Full Text - PDF (6 MB)

60.
Factors that promote effective risk management at universities classified by the Carnegie system as Doctoral/Research Universities - Extensive
by Eick, Christine Louise Maney, Ed.D., Auburn University, 2003, 114 pages; AAT 3095782

Full Text - PDF (4 MB)
61.
Improving value of information analysis in health risk management
by Yokota, Fumie, Ph.D., Harvard University, 2003, 182 pages; AAT 3091729
632 K)  Full Text - PDF (7 MB)

62.
Monetary policy, bank lending and risk management: The Turkish case
by Sengonul, Ahmet, Ph.D., George Mason University, 2003, 113 pages; AAT 3079347
Full Text - PDF (4 MB)

63.
Portfolio allocations and risk management applications: Picking the best model
by Daglish, Toby Christopher, Ph.D., University of Toronto (Canada), 2003, 89 pages; AAT NQ84767
Full Text - PDF (4 MB)

64.
Risk management in the competitive electric power industry
by Dahlgren, Robert William, Ph.D., University of Washington, 2003, 77 pages; AAT 3090985
Full Text - PDF (3 MB)

65.
Risk management techniques for decision making in highly uncertain environments
by Krokhmal, Pavlo A., Ph.D., University of Florida, 2003, 184 pages; AAT 3128727
Full Text - PDF (1 MB)

66.
Risk management and its effect on mergers and acquisitions
by Savor, Marko, Ph.D., Universite de Montreal (Canada), 2003, 285 pages; AAT NQ82759
Full Text - PDF (12 MB)

67.
The returns puzzle and non-financial firms' risk management strategies: Evidence from diverse industries
by Hume, Susan R., Ph.D., City University of New York, 2003, 176 pages; AAT 3083673
Full Text - PDF (6 MB)

68.
Two essays on risk management
by Lin, Chen-Miao, Ph.D., Georgia State University, 2003, 70 pages; AAT 3092062
481 K)  Full Text - PDF (3 MB)

69.
An assessment of agricultural risk management instruments
by Ke, Bingfan, Ph.D., Washington State University, 2002, 90 pages; AAT 3069643
Full Text - PDF (3 MB)

70.
Applications of descriptive measures in risk management
by Hernandez Perez, Nicolas Augusto, Ph.D., University of Toronto (Canada), 2002, 160 pages; AAT NQ74691
Full Text - PDF (4 MB)

71.
Downside risk measure: Theory and applications in portfolio choice and risk management
by Xie, Agnes-Xiaohong, Ph.D., Fordham University, 2002, 100 pages; AAT 3045141
Full Text - PDF (3 MB)

72.
Essays in insurance and risk management
by Halek, Martin, Ph.D., University of Pennsylvania, 2002, 112 pages; AAT 3073007
Full Text - PDF (4 MB)

73.
Essays on risk management: Hedging under product market competition and real options
by Ince, Ufuk, Ph.D., Georgia State University, 2002, 132 pages; AAT 3073673
Full Text - PDF (5 MB)

74.
Analysis of price dynamics in agricultural cash prices using fractal theory and implications for risk management with futures hedging
by Jin, Hyun Joung, Ph.D., The Pennsylvania State University, 2001, 235 pages; AAT 3020469
Full Text - PDF (8 MB)

75.
Commodity price behavior and its implication for risk management
by Peterson, Hikaru Hanawa, Ph.D., Cornell University, 2001, 280 pages; AAT 9988192
Full Text - PDF (11 MB)

76.
Economic evaluation of risk management techniques in the United States agricultural sector
by Vergara Fernandez, Oscar Ricardo, Ph.D., Mississippi State University, 2001, 124 pages; AAT 3030258
Full Text - PDF (5 MB)

77.
Essays on financial institutions: Risk management, capital allocation, trading and information
by Krishnan, C. N. V., Ph.D., The University of Wisconsin - Madison, 2001, 210 pages; AAT 3012581
Full Text - PDF (7 MB)

78.
Evaluation of new and traditional risk management tool in United States agricultural sector
by Zuniga, Manuel Guillermo, M.S., Mississippi State University, 2001, 80 pages; AAT 1404944
Full Text - PDF (3 MB)

79.
Financial derivatives in corporate risk management
by Wang, Mulong, Ph.D., The University of Texas at Austin, 2001, 142 pages; AAT 3036610
59 K)  Full Text - PDF (493 K)

80.
Interest risk management of fixed income securities subject to credit risk
by Escribano Sotos, Francisco, Dr., Universidad de Castilla - La Mancha (Spain), 2001, 216 pages; AAT 3029662
Full Text - PDF (9 MB)

81.
Project risk management for international petroleum exploration and development ventures
by Dilger, Christoph Walter, M.Eng., University of Calgary (Canada), 2001, 302 pages; AAT MQ64932
Full Text - PDF (13 MB)

82.
The security of the IT resource and management support: Security risk management program effectiveness
by Kotulic, Andrew Gerald, Ph.D., The University of Texas at Arlington, 2001, 225 pages; AAT 3010038
Full Text - PDF (10 MB)

83.
Three essays in livestock risk management
by Hall, David Clement, Ph.D., Texas A&M University, 2001, 136 pages; AAT 3020044
Full Text - PDF (5 MB)

84.
Two essays in finance and statistics: Building tracking portfolios and designing risk management programs
by Zhang, Shaojun, Ph.D., The Florida State University, 2001, 65 pages; AAT 3005637
Full Text - PDF (3 MB)

85.
A risk management perspective on public pension reform
by Chang, Kuang-Wen, D.B.A., Boston University, 2000, 200 pages; AAT 9953767
Full Text - PDF (9 MB)

86.
Corporate risk management and measurement: Theory and empirical evidence on commodity-based corporations
by Chung, Sam Young, Ph.D., University of Massachusetts Amherst, 2000, 128 pages; AAT 9978485
Full Text - PDF (5 MB)

87.
Essays in corporate risk management and capital structure
by Turac, Marian, Ph.D., Georgia State University, 2000, 91 pages; AAT 9999487
Full Text - PDF (3 MB)

88.
Essays on pricing fixed income derivatives and risk management
by Zhang, Jun, Ph.D., University of Massachusetts Amherst, 2000, 104 pages; AAT 9988858
Full Text - PDF (5 MB)

89.
Interest rate risk management: Hedging misspecification in interest rate swaps
by Chung, Il Yung, D.B.A., Boston University, 2000, 206 pages; AAT 9989027
Full Text - PDF (6 MB)

90.
Risk-e-business: A framework for legal risk management developed through an analysis of selected legal risk in Internet commerce
by Reid, Katharine, Ph.D., University of New South Wales (Australia), 2000, 493 pages; AAT 3235074
303 K)  Full Text - PDF (2 MB)
91.
Risk management for electric power and computer systems
by Chatterjee, Dhiman, Ph.D., Illinois Institute of Technology, 2000, 101 pages; AAT 9974059
Full Text - PDF (4 MB)

92.
Stable modeling in risk management
by Khindanova, Irina Nikolaevna, Ph.D., University of California, Santa Barbara, 2000, 210 pages; AAT 3003568
Full Text - PDF (7 MB)

93.
Three essays on credit derivatives and credit risk management
by Yan, Yong (David), Ph.D., The University of Alabama, 2000, 138 pages; AAT 9966725
Full Text - PDF (4 MB)

94.
Three essays on auction, retail risk management and market share evolution
by Hu, Xiaorui, Ph.D., The University of Texas at Austin, 2000, 113 pages; AAT 3004291
Full Text - PDF (4 MB)

95.
Three essays in agricultural loan portfolio risk management
by Gallagher, Richard Lee, Ph.D., Texas A&M University, 2000, 166 pages; AAT 9980147
Full Text - PDF (6 MB)

96.
A study in risk management policy: A comparison between public and private organizations
by Deeb, William Stephen, Ed.D., University of Southern California, 1999, 230 pages; AAT 9933752
Full Text - PDF (8 MB)

97.
Diversification of livestock assets for risk management in the Borana pastoral system of southern Ethiopia
by Desta, Solomon, Ph.D., Utah State University, 1999, 189 pages; AAT 9951358
Full Text - PDF (7 MB)

98.
Essays on accounting, capital structure, and risk management
by Jorgensen, Bjorn Nybo, Ph.D., Northwestern University, 1999, 176 pages; AAT 9932185
Full Text - PDF (4 MB)

99.
Corporate hedging with derivatives: An empirical analysis of value-maximizing risk management incentives
by Rogers, Daniel Arthur, Ph.D., The University of Utah, 1998, 124 pages; AAT 9840000
Full Text - PDF (5 MB)

100.
Term structure of interest rates in the Spanish government debt market: Dynamics and new duration model for risk management of fixed-income portfolios
by Gomez Fernandez, Maria Inmaculada, Dr., Universidad de Huelva (Spain), 1998, 396 pages; AAT 3048663
Full Text - PDF (15 MB)

101.
The effect of decision context on organizational risk management: A model of Superfund site decisions
by Waguespack, David Matthew, Ph.D., University of Oregon, 1998, 179 pages; AAT 9908444
Full Text - PDF (7 MB)

102.
Risk assessment and risk management for natural gas distribution
by Papadakis, Ioannis Spyridon, Ph.D., University of Pennsylvania, 1997, 152 pages; AAT 9800909
Full Text - PDF (5 MB)

103.
Theoretical technology transfer measures from risk management
by Jines, Lanny Alan, Ph.D., The Union Institute, 1997, 98 pages; AAT 9812111
Full Text - PDF (4 MB)

104.
Strategic risk management for international business development of a processing cucumber industry in the Caribbean
by Frenz, Byron L., Ph.D., The University of Wisconsin - Madison, 1996, 291 pages; AAT 9622522
Full Text - PDF (10 MB)

105.
Risk management in small nonprofit organizations in the San Francisco Bay Area: A model
by Jackson, Peggy M., D.P.A., Golden Gate University, 1995, 196 pages; AAT 9539935
Full Text - PDF (9 MB)

106.
Insurance risk management: An occupation at risk
by Englehart, Joanne Peterson, Ph.D., Northwestern University, 1993, 157 pages; AAT 9327192
Full Text - PDF (7 MB)

107.
The role of equilibrium in risk management: Operational decisions/organizational success
by Sterrett, Frank W., III, D.B.A., Boston University, 1992, 267 pages; AAT 9222836
Full Text - PDF (9 MB)

108.
Risk management for the construction owner
by McKim, Robert A., Ph.D., University of Waterloo (Canada), 1990; AAT NL57825
Full Text - PDF (5 MB)





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نوشته شده در تاریخ چهارشنبه 11 شهریور 1388 توسط مهندس باغی
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