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Special Issue

CORPORATE RISK MANAGEMENT DISCLOSURES IN PRACTICE

Vol. 3, No. 2 (September 2006)

 

SPECIAL ISSUE: "CORPORATE RISK MANAGEMENT DISCLOSURES IN PRACTICE"

 

EDITORIAL
THE NEW LANDSCAPE FOR CORPOREATE RISK MANAGEMENT DISCLOSURES

Author(s):MAMOUDA MBEMAP

 

EVALUATING INTERNAL CONTROLS UNDER SECTION 404 OF SARBANES OXLEY ACT

 

THE EUROPEAN FINACIAL CONGLOMERATE DIRECTIVES (FCD)

 

THE EUROPEAN FINACIAL CONGLOMERATE DIRECTIVES (FCD)

 

FUND MANAGERS: CLOSING THE GAPS BETWEEN US GAAP AND IFRS

 

THE PRACTICE OF BACKDATING STOCK OPTIONS: USE AND MISUSE

 

INDUSTRY PERSPECTIVE

GENERAL ELECTRIC ACCOUNTS RESTATEMENTS AND THE AND THE REALITY OF REPORTING OF DERIVATIVES TRANSACTIONS

 

REGULATORY CAPITAL DISCLOSURE AT AIG

 

BOOK REVIEW

Title:"How to Comply with Sarbanes-Oxley Section 404: Assessing the Effectiveness of Internal Control ", By by Michael Ramos

Author(s): M. Mbemap