Artikel

The Dali model in risk-management practice: The case of financial services firms

Originality/value-this model contributed to the vast literature on models of change and risk management within organisations, but was not validated empirically for reliability of the factors, and on financial services providers within small jurisdictions. Therefore, the significance and importance of such a study lies firstly on the premise that testing on small countries can be deemed as small laboratories for more complex politics, regulations and policies of larger countries and secondly, the importance of financial services as essential for prosperity in a country's economy. This model will provide an empirically tested proactive model in a specific environment for managing organisational risks to arrive at their objectives with minimal setbacks.

Sprache
Englisch

Erschienen in
Journal: Journal of Risk and Financial Management ; ISSN: 1911-8074 ; Volume: 12 ; Year: 2019 ; Issue: 4 ; Pages: 1-15 ; Basel: MDPI

Klassifikation
Wirtschaft
Thema
change management
decision-making model
good governance
process improvement
resource management
risk management

Ereignis
Geistige Schöpfung
(wer)
Dalli Gonzi, Rebecca
Grima, Simon
Kizilkaya, Murat
Spiteri, Jonathan
Ereignis
Veröffentlichung
(wer)
MDPI
(wo)
Basel
(wann)
2019

DOI
doi:10.3390/jrfm12040169
Handle
Letzte Aktualisierung
10.03.2025, 11:43 MEZ

Datenpartner

Dieses Objekt wird bereitgestellt von:
ZBW - Deutsche Zentralbibliothek für Wirtschaftswissenschaften - Leibniz-Informationszentrum Wirtschaft. Bei Fragen zum Objekt wenden Sie sich bitte an den Datenpartner.

Objekttyp

  • Artikel

Beteiligte

  • Dalli Gonzi, Rebecca
  • Grima, Simon
  • Kizilkaya, Murat
  • Spiteri, Jonathan
  • MDPI

Entstanden

  • 2019

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