Index

Managing Risk and Decision Making in Times of Economic Distress, Part B

ISBN: 978-1-80262-972-9, eISBN: 978-1-80262-971-2

ISSN: 1569-3759

Publication date: 28 March 2022

This content is currently only available as a PDF

Citation

(2022), "Index", Grima, S., Özen, E. and Romānova, I. (Ed.) Managing Risk and Decision Making in Times of Economic Distress, Part B (Contemporary Studies in Economic and Financial Analysis, Vol. 108B), Emerald Publishing Limited, Leeds, pp. 231-235. https://doi.org/10.1108/S1569-37592022000108B028

Publisher

:

Emerald Publishing Limited

Copyright © 2022 Simon Grima, Ercan Özen and Inna Romanova


INDEX

Accountancy Europe (AE), 41

Area under curve (AUC), 192

Artificial intelligence (AI), 25, 217

Average, 81

3BL Media, 92

Barter leasing, 123

Basel Capital Accord, 6

Basel II Agreement, 6

Basel III Agreement, 5–6

Basel standardised method, 189

BDS test, 205

Big data, 25

analytics, 27

Borsa Istanbul, 205, 206

Bottomry, 216

Brundtland Report (see Our Common Future)

Business models innovation, 25–26

Cabinet Committee on Economic Affairs (CCEA), 216

Calculus-based trust (CBT), 162

Cambridge Institute for Sustainability Leadership (CISL), 92

Capital adequacy, 6

Capital buffer, 3

Centers for Disease Control and Prevention (CDC), 179

Central, Eastern and South-Eastern Europe (CESEE), 193

region countries, 196–199

Climate Disclosure Project (CDP), 43

Climate Disclosure Standards Board (CDSB), 43

Compensatory leasing, 123

Compulsory competencies, 78

Consumer behaviour

changes in, 175–178

in COVI D-19 pandemic, 174–175

digital transformations in pandemic period, 178–181

Consumer leasing, 123

Consumption, 175

Coronavirus disease 2019 (COVID-19), 144, 174

demographic characteristics of businesses, 148–151

information technologies in business during, 146–147

pandemic, 2, 174–175

pandemic on investments in information technologies, 153–154

pandemic outbreak, 145

research model, 148

in SME credit market development, 127–128

sustainable tourism in crisis situations, 27–30

use of information technologies, 151–153

Corporate social responsibility (CSR), 45

Countercyclical capital buffer (CCyB), 189–190

Credit line, 117–118

Credit market, 112

Cyber risk management, 77

analysis of linear regressions, 83

cyber security competencies, 78

economic competencies, 84, 87

human resource competencies, 78

hypotheses, 79, 80

IT&C competencies, 85

linear multiple regression, 81

security ethics competencies, 85, 86

SPSS program, 81–82

Cyber security competencies, 79

Cyclical systemic risks, 189, 190, 192

Data analysis techniques, 25

Debt service ratio (DSR), 193

Decision-making problem, 77

Digital Economy and Society Index (DESI), 133

Digital technologies, 146

Digital transformation

in pandemic period, 178–181

technologies, 145

Digitalisation, 25, 132–134, 144

big data analytics, 27

business models innovation, 25–26

empirical analysis, 135–139

in Romania, 134

Romania’s national and regional digitalisation, 134–135

RREG, 139–140

smart tourism, 26–27

Direct leasing, 123

Dynamic materiality approach, 54

e-Tourism, 26

Early warning indicator (EWI), 192

Econometric analysis, 135–138

Economic competencies, 79, 84, 87

Employee voice behavior, 162

SUHRM and, 163–164

in SUHRM and WWB, 165

Employee wellbeing, 161

Enterprise, 111

Entrepreneurship, 62, 110

Environmental, social and governance (ESG), 46

criteria, 93, 96–97

issues, 46

Environmental tourism, 20–21

Ethical security competencies, 79

European Commission (EC), 19–20, 64

European context, 132

impact of digitalization, 132–134

European Financial Reporting Advisory Group (EFRAG), 45

European Union (EU), 18, 45, 62, 94, 133

Sustainable Finance Disclosure Regulation, 45–46

Taxonomy Regulation, 45

Financial cycle, 188

CCyB and associated BCBS methodology, 189–190

CESEE region countries, 196–199

comparative predictive power of methodologies, 192–196

HP filter methodology, 191–192

and properties, 189

Financial leasing, 123

Financial sector, 46

Financial Stability Board (FSB), 43

Fixed effects model (FE model), 67

Foreign direct investment (FDI), 216

General competencies, 78

General insurance, 216–217

General Insurance Corporation (GIC), 216

Generally accepted accounting principles (GAAP), 47

Global Entrepreneurship Monitor (GEM), 65

Global Reporting Initiative (GRI), 43

Globalisation, 64–65, 218

Green Paper Entrepreneurship, 64

Gross Direct Premium (GDP), 220–221

Gross domestic product (GDP), 135

Gross value added (GVA), 135

Hamilton filter, 194

Hausman test, 67

Health insurance, 220–221

Hodrick–Prescott filter (HP filter), 190, 191–192

Human capital, 31

Human factor, 31

Human resource management (HRM), 160

Identification-based trust (IBT), 162

Indian IT companies, 165

Information and Communications Technology (ICT), 134

Information technology (IT), 133, 165

in business during COVID-19, 146–147

Information technology and communications (IT&C), 78

competencies, 85

Insurance Index, 205, 209

Internal leasing, 123

International Accounting Standards Board (IASB), 47

International Federation of Accountants (IFAC), 41

International Financial Reporting Standards (IFRS), 42, 51–52

International Integrated Reporting Council (IIRC), 43

International leasing, 123

International Monetary Fund, 146

International non-financial reporting framework

agenda behind non-financial reporting, 40–43

movement towards, 49–55

non-financial information, 39

non-financial reporting ecosystem, 43–49

qualitative methodological approach, 40

International Organization of Securities Commissions (IOSCO), 42

Internet of things (IoT), 25, 145

Kosovo, SME in, 147

Leasing, 122–126

Liberalisation, 218

‘Life Fits into Home’ application, 180–181

Life Insurance Corporation (LIC), 216

Life wellbeing (LWB), 161

Linear multiple regression, 81

Lisbon Agenda, 64

Macroprudential policy, 3

application of macroprudential instruments, 8–12

genesis of, 4–8

macroprudential risks, 12–14

Macroprudential relaxation, 9

Management Commentary, 47

Markov regime switching model (MRS model), 206

recession regime, 210

regimes for XSGRT, 211

transition matrix, 207

XSGRT Index, 204–205, 208–209

Mass tourism, 29

Maximum likelihood estimator (MLE), 139

Median, 81

Member States (MS), 133

Mobile technology, 25

Module, 81

Monetary and Capital Markets Department (MCMMP), 9

Monetary stimulus policy, 8–12

National Bank of Moldova (NBM), 112

National Insurance, 218

National Reform Programmes (NRPs), 94

Net premium income (NPI), 221

Nomenclature of Territorial Units for Statistics (NUTS), 135

Non-financial Reporting Directive (NFRD), 45

Non-financial reporting ecosystem, 43–49

Non-life insurance, 218

Operational leasing, 123

Ordinary least squares (OLS), 67

Our Common Future, 19

Overdraft, 118

Pre-liberalisation period, 219

Principal component analysis (PCA), 67

Privatisation, 218

Product portfolio, 218, 220, 222

Prohibitive voice behaviour, 162

Promotive voice behaviour, 162

Psychological wellbeing (PWB), 161

Public policy, 62–63 (see also Macroprudential policy)

Breusch-Pagan Lagrange multiplier, 71–72

cycle, 63

entrepreneurial framework, 66

F-test and Wald test, 70

globalisation, 64–65

government policies, 66

Pearson’s Correlation Matrix, 68

Pearson’s correlations, 68, 69

WGI, 67

Public sector general insurance companies

data analysis, 222–223

general insurance, 216–217

health insurance, 220–221

hypothesis, 222

product development, 219

product portfolio, 222

reform process, 216, 218

results and interpretation, 223–227

Single-Index model, 221

Random effects model (RE model), 67

Real-time estimations, 193

Receiver operating characteristic curve (ROC curve), 192

Recession regime, 210

Reform process, 216, 218

Regional welfare effects

empirical analysis, 135–139

in Romania, 134

Romania’s national and regional digitalisation background, 134–135

Regression analysis, 67

Republic of Moldova, 111

SME in, 111–128

Risk, 76

interpretation, 76

management, 76

risk-weighted assets, 6

Robust regression models (RREG), 133

Romania in digitalisation framework, 133

Security ethics competencies, 85, 86

Short time series, 189, 196–199

Single-Index model, 221

Small and medium-sized enterprises (SME), 110, 147

in Republic of Moldova, 111–128

Small-and medium-sized companies, 64

Smart tourism, 26–27

Social innovation for sustainable tourism, 22–25

Spatial error, 133

Spatial lag-autoregressive (SAR), 133

Statistical Package for Social Sciences (SPSS), 81

Stock markets, 204

Supply chain (SC), 144

Sustainability, 93

integration of sustainability assessment systems, 102–105

Sustainability Accounting Standards Board (SASB), 43

Sustainable development, 18–22, 93

ESG Candriam Score, 99

ESG criteria, 93, 96–97

hierarchical cluster analysis, 100

SDG, 93, 94–96

SDG Index and Dashboards, 97

SDG Index values, 101, 102

Sustainable development goals (SDGs), 41, 93–96

Index and Dashboards, 97

Sustainable human resource management (SUHRM), 160, 161

analysis and results, 166–167

and employee voice behaviour, 162–164

employee voice behaviour in SUHRM and WWB, 165

and employee WWB, 163

trust in management, 162–163

WWB, 160–164

Sustainable tourism, 18–22

in crisis situations, 27–30

digitalisation and, 25–27

quality of tourism jobs, 30–32

social innovation for, 22–25

Task Force on Climate-related Financial Disclosures (TCFD), 43

Tier 1 core capital (CET1), 11

Tourism, 18 (see also Sustainable tourism)

Tourism Sustainability Group (TSG), 21–22

Transilvania Train, 24

Triple bottom line, 93

Trust in management, 162

SUHRM and, 163

UN Development Agency, 44–45

UN Millennium Develeopment Goals, 96

UN Principles for Responsible Investment, 44

United Nations (UN), 41, 94

United Nations World Tourism Organization (UNWTO), 19

Universality, 95

Unobserved components model (UCM), 191

Value Reporting Foundation (VRF), 44

Vector error correction model (VEC), 196

Voice behavior, 162

Work wellbeing (WWB), 160–162

World Commission on Environment and Development (WCED), 19, 94

World Health Organization (WHO), 174

World Trade Organization, 145

Worldwide Governance Indicators (WGI), 67

XSGRT Index, 204–205