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Moderating Role of Risk Management between Risk Exposure and Bank Performance: Application of GMM Model
(Articles)
Ivy Eklemet
,
John MacCarthy
,
Emmanuel Gyamera
Theoretical Economics Letters
Vol.14 No.2
,March 15, 2024
DOI:
10.4236/tel.2024.142020
289
Downloads
1,259
Views
Citations
Research on Personal Credit Risk Assessment Model Based on Instance-Based Transfer Learning
(Articles)
Maoguang Wang
,
Hang Yang
International Journal of Intelligence Science
Vol.11 No.1
,January 15, 2021
DOI:
10.4236/ijis.2021.111004
871
Downloads
2,607
Views
Citations
Triangular Financial Service: Innovation in Credit Granting
(Articles)
Adlane Haffar
,
Éric Le Fur
,
Jean-Michel Sahut
Theoretical Economics Letters
Vol.14 No.3
,June 26, 2024
DOI:
10.4236/tel.2024.143055
92
Downloads
390
Views
Citations
An Improved Fuzzy ISODATA Algorithm for Credit Risk Assessment of the EIT Enterprises
(Articles)
Zongfang Zhou
Modern Economy
Vol.3 No.5
,September 29, 2012
DOI:
10.4236/me.2012.35088
6,894
Downloads
9,829
Views
Citations
The Simulation Study on the Control of Credit Risk of the Enterprise Group Based on the Intensity of Affiliated Transactions
(Articles)
Yu Xia
,
Chao Xu
,
Danhui Guan
,
Zongfang Zhou
Modern Economy
Vol.3 No.8
,December 31, 2012
DOI:
10.4236/me.2012.38119
3,940
Downloads
6,015
Views
Citations
Cross-Market Valuation with Full Information on the Company’s Capital Structure
(Articles)
Pascal Heider
,
Peter N. Posch
Journal of Mathematical Finance
Vol.3 No.3A
,October 30, 2013
DOI:
10.4236/jmf.2013.33A007
4,661
Downloads
7,016
Views
Citations
This article belongs to the Special Issue on
Corporate Finance
Study on the Impact of Incentive Mechanisms and Internal Control Systems on Risk Management in Commercial Banks
(Articles)
Qi Zhang
iBusiness
Vol.5 No.3B
,November 8, 2013
DOI:
10.4236/ib.2013.53B033
5,981
Downloads
8,323
Views
Citations
Multi-Name Extension to the Credit Grades and an Efficient Monte Carlo Method
(Articles)
Hideyuki Takada
Journal of Mathematical Finance
Vol.4 No.3
,May 28, 2014
DOI:
10.4236/jmf.2014.43017
3,557
Downloads
4,882
Views
Citations
A Regime Switching Model for the Term Structure of Credit Risk Spreads
(Articles)
Seungmook Choi
,
Michael D. Marcozzi
Journal of Mathematical Finance
Vol.5 No.1
,February 13, 2015
DOI:
10.4236/jmf.2015.51005
3,321
Downloads
4,930
Views
Citations
Supply Chain Finance Credit Risk Evaluation Method Based on Self-Adaption Weight
(Articles)
Yueliang Su
,
Nan Lu
Journal of Computer and Communications
Vol.3 No.7
,July 17, 2015
DOI:
10.4236/jcc.2015.37002
4,722
Downloads
6,359
Views
Citations
Counterparty Credit Risk in OTC Derivatives under Basel III
(Articles)
Mabelle Sayah
Journal of Mathematical Finance
Vol.7 No.1
,December 30, 2016
DOI:
10.4236/jmf.2017.71001
4,086
Downloads
9,885
Views
Citations
This article belongs to the Special Issue on
Credit and Further Valuation Adjustments
Credit Risk Management: An Examination on the Basis of Exposures with Risk Weighting in Greek Banks
(Articles)
Simeon Karafolas
Journal of Financial Risk Management
Vol.6 No.2
,June 5, 2017
DOI:
10.4236/jfrm.2017.62009
2,554
Downloads
6,753
Views
Citations
The Role of Group Size and Correlated Project Outcomes in Group Lending
(Articles)
Marina Markheim
Theoretical Economics Letters
Vol.7 No.5
,July 21, 2017
DOI:
10.4236/tel.2017.75080
1,193
Downloads
2,725
Views
Citations
Analysis of the Problems and Countermeasures of China’s Green Credit
(Articles)
Xiaojie Wu
,
Xuehua Zhang
Journal of Geoscience and Environment Protection
Vol.6 No.6
,June 27, 2018
DOI:
10.4236/gep.2018.66009
1,602
Downloads
3,444
Views
Citations
The Impact of Credit Risk Management in Financial Market Indicators—Analytical Study in the Iraqi Market for Securities
(Articles)
Mahdi Attia Jubouri
Journal of Financial Risk Management
Vol.7 No.3
,September 27, 2018
DOI:
10.4236/jfrm.2018.73017
2,626
Downloads
6,942
Views
Citations
Why Non-Performing Assets Are More in Public Sector Banks in India?
(Articles)
Bezawada Brahmaiah
Theoretical Economics Letters
Vol.9 No.1
,January 29, 2019
DOI:
10.4236/tel.2019.91007
1,980
Downloads
16,263
Views
Citations
On the Nexus of Credit Risk Management and Bank Performance: A Dynamic Panel Testimony from Some Selected Commercial Banks in China
(Articles)
Tan Zhongming
,
Rethabile Mpeqa
,
Isaac Adjei Mensah
,
Guoping Ding
,
Mohammed Musah
Journal of Financial Risk Management
Vol.8 No.2
,June 24, 2019
DOI:
10.4236/jfrm.2019.82009
1,623
Downloads
4,792
Views
Citations
Analysis of the Influence of Financial Flexibility on Enterprises
(Articles)
Xiangyu Xie
,
Jiawen Zhao
Open Journal of Business and Management
Vol.8 No.4
,July 31, 2020
DOI:
10.4236/ojbm.2020.84117
1,034
Downloads
2,983
Views
Citations
Credit Risk Management and the Performance of Financial Institutions in South Sudan
(Articles)
Adire Simon Deng
,
Lucy Rono
,
Jane Sang
Modern Economy
Vol.11 No.11
,November 26, 2020
DOI:
10.4236/me.2020.1111128
1,147
Downloads
4,757
Views
Citations
Quantitative Analysis of the Impact of Basel II Accord on Greek Banks: The Application of IRB Approach
(Articles)
Anna Donatou
,
Ioannis Leventides
Journal of Financial Risk Management
Vol.11 No.1
,February 18, 2022
DOI:
10.4236/jfrm.2022.111004
270
Downloads
1,509
Views
Citations
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