WEKO3
アイテム
{"_buckets": {"deposit": "86a582e0-5773-43e3-9818-8c66e237621c"}, "_deposit": {"id": "27727", "owners": [], "pid": {"revision_id": 0, "type": "depid", "value": "27727"}, "status": "published"}, "_oai": {"id": "oai:niigata-u.repo.nii.ac.jp:00027727", "sets": ["456", "1538"]}, "item_7_alternative_title_1": {"attribute_name": "その他のタイトル", "attribute_value_mlt": [{"subitem_alternative_title": "Risk Analysis in the University Management : From the Viewpoint of Risk Management in International Finance Transactions"}]}, "item_7_biblio_info_6": {"attribute_name": "書誌情報", "attribute_value_mlt": [{"bibliographicIssueDates": {"bibliographicIssueDate": "2005-03", "bibliographicIssueDateType": "Issued"}, "bibliographicPageEnd": "12", "bibliographicPageStart": "1", "bibliographicVolumeNumber": "1", "bibliographic_titles": [{"bibliographic_title": "新潟大学国際センター紀要"}, {"bibliographic_title": "新潟大学国際センター紀要", "bibliographic_titleLang": "en"}]}]}, "item_7_description_4": {"attribute_name": "抄録", "attribute_value_mlt": [{"subitem_description": "After the incorporation of the national university in Japan, comprehensive risk analysis and management are required in not only academic field but also field of the management as a corporation. For the international finance trade, where the author was deeply taken for 30 years, risk management technique for measuring and reducing the risk has been developed. This paper is aiming to analyze the risk management in Japanese universities. The idea was obtained from the viewpoint of risk management of international finance transactions.", "subitem_description_type": "Abstract"}]}, "item_7_full_name_3": {"attribute_name": "著者別名", "attribute_value_mlt": [{"nameIdentifiers": [{"nameIdentifier": "159931", "nameIdentifierScheme": "WEKO"}], "names": [{"name": "AWAMURA, Minoru"}]}]}, "item_7_publisher_7": {"attribute_name": "出版者", "attribute_value_mlt": [{"subitem_publisher": "新潟大学国際センター"}]}, "item_7_select_19": {"attribute_name": "著者版フラグ", "attribute_value_mlt": [{"subitem_select_item": "publisher"}]}, "item_7_source_id_11": {"attribute_name": "書誌レコードID", "attribute_value_mlt": [{"subitem_source_identifier": "AA1208008X", "subitem_source_identifier_type": "NCID"}]}, "item_7_source_id_9": {"attribute_name": "ISSN", "attribute_value_mlt": [{"subitem_source_identifier": "13461583", "subitem_source_identifier_type": "ISSN"}]}, "item_creator": {"attribute_name": "著者", "attribute_type": "creator", "attribute_value_mlt": [{"creatorNames": [{"creatorName": "阿波村, 稔"}], "nameIdentifiers": [{"nameIdentifier": "159930", "nameIdentifierScheme": "WEKO"}]}]}, "item_files": {"attribute_name": "ファイル情報", "attribute_type": "file", "attribute_value_mlt": [{"accessrole": "open_date", "date": [{"dateType": "Available", "dateValue": "2019-08-20"}], "displaytype": "detail", "download_preview_message": "", "file_order": 0, "filename": "KJ00004178382.pdf", "filesize": [{"value": "1.6 MB"}], "format": "application/pdf", "future_date_message": "", "is_thumbnail": false, "licensetype": "license_free", "mimetype": "application/pdf", "size": 1600000.0, "url": {"label": "KJ00004178382.pdf", "url": "https://niigata-u.repo.nii.ac.jp/record/27727/files/KJ00004178382.pdf"}, "version_id": "dc8afb8f-f489-428a-8463-ecb61fe04d01"}]}, "item_language": {"attribute_name": "言語", "attribute_value_mlt": [{"subitem_language": "jpn"}]}, "item_resource_type": {"attribute_name": "資源タイプ", "attribute_value_mlt": [{"resourcetype": "departmental bulletin paper", "resourceuri": "http://purl.org/coar/resource_type/c_6501"}]}, "item_title": "大学経営のリスク分析 : 国際金融取引におけるリスク管理手法の視点より", "item_titles": {"attribute_name": "タイトル", "attribute_value_mlt": [{"subitem_title": "大学経営のリスク分析 : 国際金融取引におけるリスク管理手法の視点より"}, {"subitem_title": "大学経営のリスク分析 : 国際金融取引におけるリスク管理手法の視点より", "subitem_title_language": "en"}]}, "item_type_id": "7", "owner": "1", "path": ["456", "1538"], "permalink_uri": "http://hdl.handle.net/10191/1973", "pubdate": {"attribute_name": "公開日", "attribute_value": "2007-05-10"}, "publish_date": "2007-05-10", "publish_status": "0", "recid": "27727", "relation": {}, "relation_version_is_last": true, "title": ["大学経営のリスク分析 : 国際金融取引におけるリスク管理手法の視点より"], "weko_shared_id": null}
大学経営のリスク分析 : 国際金融取引におけるリスク管理手法の視点より
http://hdl.handle.net/10191/1973
http://hdl.handle.net/10191/19738f884e27-9a90-4430-a026-c37c98cf9391
名前 / ファイル | ライセンス | アクション |
---|---|---|
KJ00004178382.pdf (1.6 MB)
|
|
Item type | 紀要論文 / Departmental Bulletin Paper(1) | |||||
---|---|---|---|---|---|---|
公開日 | 2007-05-10 | |||||
タイトル | ||||||
タイトル | 大学経営のリスク分析 : 国際金融取引におけるリスク管理手法の視点より | |||||
タイトル | ||||||
言語 | en | |||||
タイトル | 大学経営のリスク分析 : 国際金融取引におけるリスク管理手法の視点より | |||||
言語 | ||||||
言語 | jpn | |||||
資源タイプ | ||||||
資源 | http://purl.org/coar/resource_type/c_6501 | |||||
タイプ | departmental bulletin paper | |||||
その他のタイトル | ||||||
その他のタイトル | Risk Analysis in the University Management : From the Viewpoint of Risk Management in International Finance Transactions | |||||
著者 |
阿波村, 稔
× 阿波村, 稔 |
|||||
著者別名 | ||||||
識別子 | 159931 | |||||
識別子Scheme | WEKO | |||||
姓名 | AWAMURA, Minoru | |||||
抄録 | ||||||
内容記述タイプ | Abstract | |||||
内容記述 | After the incorporation of the national university in Japan, comprehensive risk analysis and management are required in not only academic field but also field of the management as a corporation. For the international finance trade, where the author was deeply taken for 30 years, risk management technique for measuring and reducing the risk has been developed. This paper is aiming to analyze the risk management in Japanese universities. The idea was obtained from the viewpoint of risk management of international finance transactions. | |||||
書誌情報 |
新潟大学国際センター紀要 en : 新潟大学国際センター紀要 巻 1, p. 1-12, 発行日 2005-03 |
|||||
出版者 | ||||||
出版者 | 新潟大学国際センター | |||||
ISSN | ||||||
収録物識別子タイプ | ISSN | |||||
収録物識別子 | 13461583 | |||||
書誌レコードID | ||||||
収録物識別子タイプ | NCID | |||||
収録物識別子 | AA1208008X | |||||
著者版フラグ | ||||||
値 | publisher |