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Does credit default swap trading improve managerial learning from outsiders?
Publication Type: Academic Journal
Source(s): Contemporary Accounting Research. Fall2023, Vol. 40 Issue 3, p2032-2070. 39p.
Abstract: Résumé: Est‐ce que la négociation de swaps sur défaillance améliore l'apprentissage managérial avec les investisseurs externes ? Les auteurs examinent si le swap sur défaillance (SD) permet aux gestionnaires d'apprendre de nouvelles informations à part...
Assessing the Impact of Credit Risk on Equity Options via Information Contents and Compound Options.
Publication Type: Academic Journal
Source(s): Risks. Oct2023, Vol. 11 Issue 10, p183. 25p.
Abstract: This work aims to develop a measure of how much credit risk is priced into equity options. Such a measure appears particularly appealing when applied to a portfolio of equity options, as it allows for the factoring in of firm-specific default dynamics,...
Predicting credit risks.
Publication Type: Academic Journal
Source(s): Issues in Information Systems. 2023, Vol. 24 Issue 4, p25-39. 15p.
Abstract: Credit risk has become an issue for banks and financial institutions as default payments from customers result in lost funds for these companies. Machine learning techniques are being used to assist financial institutions in determining clients with th...
CREDIT RISK MANAGEMENT AND EFFECTIVENESS OF CREDIT ACTIVITIES: EVIDENCE FROM VIETNAM.
Publication Type: Academic Journal
Source(s): Journal of Eastern European & Central Asian Research. 2023, Vol. 10 Issue 5, p788-799. 12p.
Abstract: The research aims to assess the effects of credit risk management on the effectiveness of credit activities at Vietnamese state-owned commercial banks. Based on the literature review and empirical studies, the aspects of credit risk management practice...
Comparison of Credit Risk Management Practices among Islamic and Public Commercial Bank's in Pakistan.
Publication Type: Academic Journal
Source(s): International Journal of Management Research & Emerging Science (IJMRES). Sep2023, Vol. 13 Issue 3, p104-132. 29p.
Abstract: The main objective of this research is to explain credit risk management practices. Furthermore, this research evaluates credit risk management practices in Pakistani banks. It compares and evaluates the techniques used by Islamic and public commercial...
Handling outliers in bankruptcy prediction models based on logistic regression.
Publication Type: Academic Journal
Source(s): Public Finance Quarterly (0031-496X). 2023, Vol. 69 Issue 3, p89-103. 15p.
Abstract: The primary tool for managing bank default risk is the credit rating of potential customers. The focus of the present study is on the logistic regression method used to construct 95% of the lender scorecards. The aim of the research is to determine how...
Rural micro-credit model design and credit risk assessment via improved LSTM algorithm.
Publication Type: Academic Journal
Source(s): PeerJ Computer Science. Sep2023, p1-20. 20p.
Abstract: Rural microcredit plays an important role in promoting rural economic development and increasing farmers' income. However, traditional credit risk assessment models may have insufficient adaptability in rural areas. This study is based on the improved ...
Credit Risk Determinants in Selected Ethiopian Commercial Banks: A Panel Data Analysis.
Publication Type: Academic Journal
Source(s): Journal of Risk & Financial Management. Sep2023, Vol. 16 Issue 9, p406. 14p.
Abstract: The study aims to investigate the factors that contribute to credit risk in Ethiopian commercial banks, considering both macroeconomic and bank-specific factors. The research utilized multiple regression models, a quantitative research approach, and ex...
Credit Risk Assessment of Heavy-Polluting Enterprises: A Wide- ℓ p Penalty and Deep Learning Approach.
Publication Type: Academic Journal
Source(s): Mathematics (2227-7390). 8/15/2023, Vol. 11 Issue 16, p3462. 19p.
Abstract: Effective credit risk assessment of heavy-polluting enterprises can achieve a balance between environmental and economic benefits. It requires the consideration of risk indicators for both the carbon information dimension and the compliance dimension. ...
Analysis of Collateral Risk Mitigation Without Collateral Rights at PT. Permodalan Nasional Madani Branch Office Jakarta.
Publication Type: Academic Journal
Source(s): Dinasti International Journal of Digital Business Management (DIJDBM). Aug2023, Vol. 4 Issue 5, p962-968. 7p.
Abstract: This study aims to analyze the implementation of strategic risk management activities for non-mortgage guarantees, analyze risk management that occurs if a guarantee is not installed with mortgage rights in it and analyze the executor's efforts if ther...