A collection of empirical and theoretical papers on risk management

The editorial team of the publishing house “Virtus Interpress” has prepared the collection of empirical and theoretical papers published in Corporate Ownership and Control Journal devoted to the topic of risk management.

We hope that the aforementioned collection of papers will be useful for those scholars pursuing research in the field of corporate governance (specifically in the field of risk management issues):

  1. Coluccia, D., Fontana, S., Graziano, E. A., Rossi, M., & Solimene, S. (2017). Does risk culture affect banks’ volatility? The case of the G-SIBs. Corporate Ownership & Control, 15(1), 33-43. http://doi.org/10.22495/cocv15i1art3
  2. Achmad, T., Faisal, F. & Oktarina, M. (2017). Factors influencing voluntary corporate risk disclosure practices by Indonesian companies. Corporate Ownership & Control, 14(3-2), 286-292.http://doi.org/10.22495/cocv14i3c2art2
  3. Abdullah, S. N. (2016). Corporate governance mechanisms and the performance of Malaysian listed firms. Corporate Ownership & Control, 14(1-2), 384-398. http://doi.org/10.22495/cocv14i1c2p10
  4. Grove, H., & Clouse, M. (2016). Strategic risk management for enhanced corporate governance. Corporate Ownership & Control, 13(4-1), 173-182. http://doi.org/10.22495/cocv13i4c1p3
  5. El-Masry, A.A., Abdelfattah, T., Elbahar, E. (2016). Corporate governance and risk management in GCC banks. Corporate Ownership & Control, 13(3), 8-16. http://dx.doi.org/10.22495/cocv13i3p1
  6. Geeta, R., Prasanna, K. (2016). Governance and risk interdependencies among family owned firms [Conference issue]. Corporate Ownership & Control, 13(2), 390-407. http://dx.doi.org/10.22495/cocv13i2cLp7
  7. Eulerich, M., Velte, P., Theis, P. (2015). Internal auditor’s contribution to good corporate governance an empirical analysis for the one-tier governance system with a focus on the relationship between internal audit function and audit committee. Corporate Ownership & Control, 13(1-1), 141-151. http://dx.doi.org/10.22495/cocv13i1c1p1
  8. Moloi, T. (2015). Risk management practices in the top 20 South Africa’s listed companies: An annual/ integrated report disclosure analysis [Special issue]. Corporate Ownership & Control, 12(4), 928-935. http://doi.org/10.22495/cocv12i4csp12
  9. Grove, H., & Clouse, M. (2013). A financial risk and fraud model comparison of Bear Stearns and Sehman Brothers: was the right or wrong firm bailed out? [Conference issue]. Corporate Ownership & Control, 11(1-1), 68-87. http://dx.doi.org/10.22495/cocv11i1conf1p7
  10. Yale, G., Grove, H., & Clouse, M. (2013). Risk management lessons learned: countrywide report. [Conference issue]. Corporate Ownership & Control, 11(1-1), 33-46. http://dx.doi.org/10.22495/cocv11i1conf1p4
  11. Grove, H., & Patelli, L. (2013). Lehman Brothers and Bear Stearns: Risk assessment and corporate governance differences? Corporate Ownership & Control, 11(1-6), 611-620. http://dx.doi.org/10.22495/cocv11i1c6art7
  12. Scherbina, T., Afanasieva, O., & Lapina, Y. (2013). Risk management, corporate governance and investment banking: The role of chief risk officer. Corporate Ownership & Control, 10(3-2), 313-330. http://doi.org/10.22495/cocv10i3c2art5
  13. Sherif, M., & Elsayed, M. (2013). The impact of company-specific and external factors on corporate risk taking: The case of Egyptian insurance companies. Corporate Ownership & Control, 10(3-1), 210-225. http://doi.org/10.22495/cocv10i3c1art5
  14. Xu, T., Grove, H., & Schaberl, P. (2013). Corporate governance: A risk management approach. Corporate Ownership & Control, 10(2),104-113. http://doi.org/10.22495/cocv10i2art8
  15. Theis, J. C. (2012). Corporate risk communication as part of corporate governance – insights from a behavioral risk perspective. Corporate Ownership & Control, 10(1-7), 692-704. http://doi.org/10.22495/cocv10i1c7art5
  16. Jizi, M. (2015). How banks’ internal governance mechanisms influence risk reporting. Corporate Ownership & Control, 12(3), 55-72. http://doi.org/10.22495/cocv12i3p6
  17. Moro Visconti, R., & Quirici, M. C. (2014). The impact of innovation and technology on microfinance sustainable governance. [Conference issue]. Corporate Ownership & Control, 11(3-2), 420-428. http://doi.org/10.22495/cocv11i3conf2p3
  18. Van Schalkwyk, R. D., & Steenkamp, R. J. (2015). A holistic risk management framework to address the global noise-induced hearing loss pandemic. Corporate Ownership & Control, 12(3-3), 295-303. http://doi.org/10.22495/cocv12i3c3p2