ABSTRACT

The purpose of this chapter is to present the first part of the results of our empirical research. In this chapter, we describe the risk profiles of the analysed enterprises on a sectoral basis, both before and during the pandemic. In this way, we identify the modifications that the pandemic crisis (in each sector separately) caused in the risk profiles of the selected companies representing the financial, construction and IT sectors. In the next section of this chapter, we show the impact of the pandemic on modifying the risk profiles of the analysed companies, but on a cross-sectoral basis. This allowed us to compare the respective sectors' exposure to individual risk factors during the pandemic.