Enterprise Risk Management (ERM) Behaviour Matrix: Mapping ERM Implementations of Non-Financial Public Listed Companies in Malaysia
نویسندگان
چکیده
منابع مشابه
Factors that affect the adoption of Enterprise Risk Management (ERM)
Risk Management (RM) is rapidly evolving; its practitioners are increasingly shifting focus from pure operational or financial risks to a broader Enterprise Risk Management (ERM). ERM involves a set of processes and methods used to manage risks that are not just associated with accidental losses but also associated with financial, strategic, technological and other business areas. This article ...
متن کاملA Review of Enterprise Risk Management Practices among Malaysian Public Listed Companies
The risk sphere in business is fast changing and expanding. Almost anything has become a risk factor that will have potent, direct, and far reaching impacts on business. This paper examines the intensity of enterprise risk management (ERM) practices among the Malaysian public listed companies. The paper espouses a ERM framework comprising fourteen important implementation elements and processes...
متن کاملEnterprise Risk Management and Performance of Financial Institutions in Iraq: The Mediating Effect of Information Technology Quality
Enterprise risk management represents a process of assessing exposure to risks in an institution. It is a systematic mechanism and a comprehensive tool for predicting events, including unexpected events, and their impacts. This paper is a conceptual study. It aims at designing a model for testing the mediation effect of information technology (IT) quality on the relationship between the enterpr...
متن کاملERM proteins
compensate for one another, although there is no evidence of true biochemical redundancy. The genomes of lower organisms, such as Caenorhabditis elegans, Drosophila melanogaster and Danio rerio, harbor single ERM orthologues; in fact, ERMs appeared evolutionarily during the transition to multicellularity and an ERM-like protein is encoded by the genome of the choanoflagellate Monosiga brevicoli...
متن کاملRisk and Capital Management in Non-Financial Companies
* General Manager, Finance, CSR Limited. 1 For the purposes of this paper, capital management refers to the process of determining the optimal capital structure of a non-financial company. There are, of course, a number of issues that relate to the optimal capital investment strategy that are not addressed here. 2 A leveraged buy-out (LBO) facilitates equity ownership of a company via a highly-...
متن کاملذخیره در منابع من
با ذخیره ی این منبع در منابع من، دسترسی به آن را برای استفاده های بعدی آسان تر کنید
ژورنال
عنوان ژورنال: Journal of Advanced Research in Business and Management Studies
سال: 2020
ISSN: 2462-1935
DOI: 10.37934/arbms.19.1.4259