{"status":"ok","message-type":"work","message-version":"1.0.0","message":{"indexed":{"date-parts":[[2026,3,4]],"date-time":"2026-03-04T17:25:54Z","timestamp":1772645154014,"version":"3.50.1"},"publisher-location":"Cham","reference-count":43,"publisher":"Springer International Publishing","isbn-type":[{"value":"9783030507909","type":"print"},{"value":"9783030507916","type":"electronic"}],"license":[{"start":{"date-parts":[[2020,1,1]],"date-time":"2020-01-01T00:00:00Z","timestamp":1577836800000},"content-version":"tdm","delay-in-days":0,"URL":"http:\/\/www.springer.com\/tdm"},{"start":{"date-parts":[[2020,1,1]],"date-time":"2020-01-01T00:00:00Z","timestamp":1577836800000},"content-version":"vor","delay-in-days":0,"URL":"http:\/\/www.springer.com\/tdm"}],"content-domain":{"domain":["link.springer.com"],"crossmark-restriction":false},"short-container-title":[],"published-print":{"date-parts":[[2020]]},"DOI":"10.1007\/978-3-030-50791-6_24","type":"book-chapter","created":{"date-parts":[[2020,6,30]],"date-time":"2020-06-30T11:05:09Z","timestamp":1593515109000},"page":"187-199","update-policy":"https:\/\/doi.org\/10.1007\/springer_crossmark_policy","source":"Crossref","is-referenced-by-count":3,"title":["Factors Affecting the Behavior of Financial Markets in the Light of Financial Risks"],"prefix":"10.1007","author":[{"given":"Zahra","family":"Hamdani","sequence":"first","affiliation":[],"role":[{"role":"author","vocabulary":"crossref"}]},{"given":"Aicha","family":"Dif","sequence":"additional","affiliation":[],"role":[{"role":"author","vocabulary":"crossref"}]},{"given":"Belkacem","family":"Zairi","sequence":"additional","affiliation":[],"role":[{"role":"author","vocabulary":"crossref"}]},{"given":"Abdelbaki","family":"Benziane","sequence":"additional","affiliation":[],"role":[{"role":"author","vocabulary":"crossref"}]},{"given":"Mohamed","family":"Hamdani","sequence":"additional","affiliation":[],"role":[{"role":"author","vocabulary":"crossref"}]}],"member":"297","published-online":{"date-parts":[[2020,7,1]]},"reference":[{"key":"24_CR1","doi-asserted-by":"crossref","unstructured":"Cougnanir, B.: L\u2019univert Des Risques En Finance \u2013 Un Equilibre En Deveir-, Sciences Po, Paris (2007)","DOI":"10.3917\/scpo.cougn.2007.01"},{"key":"24_CR2","unstructured":"Bodie, Z., Merton, R.: Finance. Pearson, Paris (2005)"},{"key":"24_CR3","unstructured":"Mishkin, F.: Monnaie, Banque Et March\u00e9 Financier. Pearson, Paris (2007)"},{"key":"24_CR4","unstructured":"Choinel, A., Rouyer, G.: March\u00e9 Financier- Structure Et Acteurs-, Collection Bq Itb, Paris (2010)"},{"key":"24_CR5","unstructured":"Bourachot, H.: 100 Fiches Pour Comprendre La Bourse Et Le March\u00e9 Financier, Paris (2010)"},{"key":"24_CR6","unstructured":"Barneto, P., Gregorio, G.: Finance. Dunod, Paris (2013)"},{"key":"24_CR7","unstructured":"Joudi, M.: Bourse Des Valeurs Et March\u00e9 Financier(2006) www.Firmarkets.Com"},{"key":"24_CR8","unstructured":"Bailly, J.-L., Caire, G., Figliuzzi, A.: Economie Mon\u00e9taire Et Financi\u00e8re"},{"key":"24_CR9","unstructured":"Ottavj, C.: Monnaie Et Financement De L\u2019\u00e9conomie. Hachette Livre, Paris (2010)"},{"key":"24_CR10","unstructured":"Cobbaut, R.: Th\u00e9orie Financi\u00e8re. Economica, Paris (1997)"},{"key":"24_CR11","unstructured":"Simon, Y.: Encyclop\u00e9die Des March\u00e9s Financiers. Economica, Paris (1997)"},{"key":"24_CR12","unstructured":"Chavagneux, C., Milwiski, F.: Les Enjeux De La Mondialisation. La D\u00e9couverte, Paris (2007)"},{"key":"24_CR13","unstructured":"Bhattacharia, A.: La Mondialisation Financi\u00e8re Se Heurte A La Crise. Revue Probl\u00e8me Economique, N\u00b0 2976, Avr 2009"},{"key":"24_CR14","unstructured":"Ranson, G.-P., Chesneau, D.: Tr\u00e9sorerie, Risques De March\u00e9s Et Gouvernement D\u2019entreprise, Paris (2008)"},{"key":"24_CR15","unstructured":"Aldoseri, M., Worthington, A.C.: Risk Management In Islamic Banking (2008)"},{"issue":"3","key":"24_CR16","first-page":"45","volume":"4","author":"SN Makiyan","year":"2008","unstructured":"Makiyan, S.N.: Risk management and challenges in Islamic banks. J. Islamic Econ. Bank. Finance 4(3), 45\u201354 (2008)","journal-title":"J. Islamic Econ. Bank. Finance"},{"key":"24_CR17","doi-asserted-by":"publisher","first-page":"19","DOI":"10.1111\/jacf.12156","volume":"28","author":"D Guill","year":"2016","unstructured":"Guill, D.: Bankers trust and the birth of modern risk management. J. Appl. Corp. Finance 28, 19\u201329 (2016)","journal-title":"J. Appl. Corp. Finance"},{"key":"24_CR18","unstructured":"Chauveau, T.: L\u2019\u00e9quilibre D\u2019un March\u00e9 Financier. Lavoisier, Paris (2004)"},{"key":"24_CR19","unstructured":"Collomb, J.-A.: Finance De March\u00e9. Eska, Paris (1999)"},{"key":"24_CR20","unstructured":"Rebereau, M.: Les Indices Economiques Et Les March\u00e9s Financiers. DUNOD, Paris (2008)"},{"key":"24_CR21","doi-asserted-by":"crossref","unstructured":"Dif, A., Hamdani, Z.: The economics of intangible assets: from just value-to-value creation. Advances in Human Factors, Business Management and Society Proceedings of the AHFE (2019)","DOI":"10.1007\/978-3-030-20154-8_51"},{"key":"24_CR22","doi-asserted-by":"crossref","unstructured":"Cougnanir, B.: L\u2019univert Des Risques En Finance \u2013Un Equilibre En Deveir-, Sciences Po, Paris (2007)","DOI":"10.3917\/scpo.cougn.2007.01"},{"key":"24_CR23","unstructured":"Luisot, J.-P., Gautier-Gaillard, S.: Diagnostic Des Risques. Afnor, Paris (2007)"},{"key":"24_CR24","unstructured":"Dallene, P.: De L\u2019internationalisation A La Globalisation. Ellipses, Paris (2007)"},{"key":"24_CR25","doi-asserted-by":"crossref","unstructured":"Masood, O., Al Suwaidi, H.: Credit risk management: a case differentiating Islamic and non-Islamic banks in UAE. Qual. Res. Financ. Market 4(2\/3) (2012)","DOI":"10.1108\/17554171211252529"},{"key":"24_CR26","unstructured":"Amelon, J.-L.: Les Nouveaux D\u00e9fis De L\u2019internationalisation \u00abQuel D\u00e9veloppement International Pour Les Entreprises Apr\u00e8s La Crise?\u00bb. De Book, Bruxelles (2010)"},{"key":"24_CR27","volume-title":"The Credit Risk of Financial Instruments","author":"B Erik","year":"1993","unstructured":"Erik, B.: The Credit Risk of Financial Instruments. Macmillan Business, London (1993)"},{"key":"24_CR28","unstructured":"Santos, J., Syed, L.: A Talk On Global Financial Crisis (2008)"},{"key":"24_CR29","unstructured":"Caudamin, G.: Banque Et March\u00e9 Financier. Economica, Paris (1998)"},{"key":"24_CR30","unstructured":"Jacquillat, B., Solnik, B.: March\u00e9 Financier: Gestion De Portefeuille Et Des Risques. Dunod, Paris (1997"},{"key":"24_CR31","unstructured":"Jura, M.: Technique Financi\u00e8re Internationale. Dunod, Paris (2003)"},{"key":"24_CR32","unstructured":"Brigham, E.F.: Fundamentals of Financial Management. The Dryden Press, USA (1998)"},{"key":"24_CR33","unstructured":"Percie Du Sert, A.: Risque Et Contr\u00f4le Du Risque. Economica, Paris (1999)"},{"key":"24_CR34","unstructured":"Bouyssou, J.: Th\u00e9orie G\u00e9n\u00e9rale Du Risque. Economisa, Paris (1997)"},{"key":"24_CR35","doi-asserted-by":"publisher","first-page":"53","DOI":"10.1093\/jjfinec\/nbj002","volume":"4","author":"K Kuester","year":"2006","unstructured":"Kuester, K., Mittnik, S., Paolella, M.S.: Value-at-risk prediction: a comparison of alternative strategies. J. Financ. Econom. 4, 53\u201389 (2006)","journal-title":"J. Financ. Econom."},{"key":"24_CR36","unstructured":"Boucher, B.: Les Crises Financi\u00e8res\u2009\u00abIdentification Et Comparaison Des Crises Boursi\u00e8res\u00bb. Ela Documentation Fran\u00e7aise, Paris (2004)"},{"key":"24_CR37","unstructured":"Christoffersen, P.F.: Elements of Financial Risk Management, London (2003)"},{"key":"24_CR38","first-page":"90","volume":"5","author":"M Ben Selma","year":"2014","unstructured":"Ben Selma, M., Echchabi, R., Azouzi, A., Rachdi, D.: risk management tools practiced in Islamic banks: evidence in Mena region. J. Islamic Account. Bus. 5, 90 (2014)","journal-title":"J. Islamic Account. Bus."},{"key":"24_CR39","unstructured":"Bergsdorf, D.: Manager Your Risk or Risk Your Management. Public Management, USA (1999)"},{"key":"24_CR40","unstructured":"Cummins, A.D.: The Rise of Risk Management, Economic Review. Federal Reserve Bank of Atlanta (1998)"},{"key":"24_CR41","unstructured":"Penny, C.: Financial Risk Management Sources. Inconstant, vol. 22, no. 6 (1999)"},{"key":"24_CR42","unstructured":"Stewart, T.A.: Management Riskin The 21st Century. Fortune, vol. 144, no. 03 (2000)"},{"key":"24_CR43","volume-title":"Banking Risk Management in a Globalizing Economy","author":"P Angelopoulos","year":"2001","unstructured":"Angelopoulos, P., Mourdoukoutas, P.: Banking Risk Management in a Globalizing Economy. Qourum Books, London (2001)"}],"container-title":["Advances in Intelligent Systems and Computing","Advances in Human Factors, Business Management and Leadership"],"original-title":[],"language":"en","link":[{"URL":"http:\/\/link.springer.com\/content\/pdf\/10.1007\/978-3-030-50791-6_24","content-type":"unspecified","content-version":"vor","intended-application":"similarity-checking"}],"deposited":{"date-parts":[[2021,3,22]],"date-time":"2021-03-22T11:35:42Z","timestamp":1616412942000},"score":1,"resource":{"primary":{"URL":"http:\/\/link.springer.com\/10.1007\/978-3-030-50791-6_24"}},"subtitle":[],"short-title":[],"issued":{"date-parts":[[2020]]},"ISBN":["9783030507909","9783030507916"],"references-count":43,"URL":"https:\/\/doi.org\/10.1007\/978-3-030-50791-6_24","relation":{},"ISSN":["2194-5357","2194-5365"],"issn-type":[{"value":"2194-5357","type":"print"},{"value":"2194-5365","type":"electronic"}],"subject":[],"published":{"date-parts":[[2020]]},"assertion":[{"value":"1 July 2020","order":1,"name":"first_online","label":"First Online","group":{"name":"ChapterHistory","label":"Chapter History"}},{"value":"AHFE","order":1,"name":"conference_acronym","label":"Conference Acronym","group":{"name":"ConferenceInfo","label":"Conference Information"}},{"value":"International Conference on Applied Human Factors and Ergonomics","order":2,"name":"conference_name","label":"Conference Name","group":{"name":"ConferenceInfo","label":"Conference Information"}},{"value":"San Diego, CA","order":3,"name":"conference_city","label":"Conference City","group":{"name":"ConferenceInfo","label":"Conference Information"}},{"value":"USA","order":4,"name":"conference_country","label":"Conference Country","group":{"name":"ConferenceInfo","label":"Conference Information"}},{"value":"2020","order":5,"name":"conference_year","label":"Conference Year","group":{"name":"ConferenceInfo","label":"Conference Information"}},{"value":"16 July 2020","order":7,"name":"conference_start_date","label":"Conference Start Date","group":{"name":"ConferenceInfo","label":"Conference Information"}},{"value":"20 July 2020","order":8,"name":"conference_end_date","label":"Conference End Date","group":{"name":"ConferenceInfo","label":"Conference Information"}},{"value":"ahfe2020","order":10,"name":"conference_id","label":"Conference ID","group":{"name":"ConferenceInfo","label":"Conference Information"}},{"value":"http:\/\/ahfe2020.org\/","order":11,"name":"conference_url","label":"Conference URL","group":{"name":"ConferenceInfo","label":"Conference Information"}}]}}