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Casual Models of Contingency and Risk in Finance and Manufacturing

机译:金融和制造业中偶然性的偶然性和风险模型

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摘要

In this final issue for the International Journal of Risk and Contingency Management (IJRCM) in 2014 we present manuscripts with an emphasis on casual models of contingency and risk across several disciplines. The disciplines include financial services organizations (including banks) and a company in the automobile manufacturing industry. The methods involve surveying, case studies, and general analytical techniques (including linear regression and linear programming models). We are confident that readers will find these manuscripts unique, interesting and useful towards inform ing future contingency and risk management research.
机译:在2014年《国际风险与应急管理期刊》(IJRCM)的最后一期中,我们提出了手稿,重点是跨多个学科的偶然性的应急和风险模型。这些学科包括金融服务组织(包括银行)和汽车制造业的公司。这些方法涉及调查,案例研究和一般分析技术(包括线性回归和线性规划模型)。我们相信,读者会发现这些手稿独特,有趣并且对指导未来的意外事件和风险管理研究有用。

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