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Advanced Search Results For "FINANCIAL risk"

1 - 10 of 77,120 results for
 "FINANCIAL risk"
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Application of Neural Network with Autocorrelation in Long-Term Forecasting of Systemic Financial Risk.

Publication Type:Academic Journal

Source(s):Computational Intelligence & Neuroscience. 9/16/2022, p1-7. 7p.

Abstract:Carrying out early warning of systemic financial risk is a prerequisite for timely adjustment of monetary policy and macroprudential policy to effectively prevent and resolve systemic financial risks. This paper constructs a systemic financial risk mon...

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Counterparty Risk in Over-the-Counter Markets.

Publication Type:Academic Journal

Source(s):Journal of Financial & Quantitative Analysis. May2022, Vol. 57 Issue 3, p1058-1082. 25p.

Abstract:We study trading and risk management decisions of banks in over-the-counter markets, accounting for 2 types of risk: payoff risk from loans and counterparty risk from trading activities. Our model provides empirically supported predictions on the struc...

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Prediction and Analysis of Corporate Financial Risk Assessment Using Logistic Regression Algorithm in Multiple Uncertainty Environment.

Publication Type:Academic Journal

Source(s):Journal of Environmental & Public Health. 9/14/2022, p1-10. 10p.

Abstract:Currently, the level of economic globalisation is expanding, which gives organizations more room to grow while also subjecting them to an increasing amount of pressure from the market. Companies are forced to deal with an increasing number of unclear a...

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Function Extraction Based on CFPS and Digital Financial Index: Data Mining Techniques for Prognosis of Operational Risks of Financial Institutions.

Publication Type:Academic Journal

Source(s):Journal of Sensors. 8/11/2022, p1-11. 11p.

Abstract:Financial deregulation, financial globalization, and the increasing variety and technological sophistication of the commodities offered by financial services have made the operations of financial institutions more complex. Compared with credit risk and...

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MANAGING CREDIT RISK STRATEGIES FOR COMMERCIAL BANKS: THE CASE OF KOSOVO.

Publication Type:Academic Journal

Source(s):Journal of Eastern European & Central Asian Research. 2022, Vol. 9 Issue 2, p309-318. 10p.

Abstract:The study aims to substantiate effective strategies to manage credit risks in commercial banks, for example, Kosovo. Based on the annual financial statements of commercial banks in Kosovo for 2010-2020. We built polynomial regression models to assess t...

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Empirical Analysis of Customer Risk and Corporate Financing Constraints Based on Supply Chain Networks.

Publication Type:Academic Journal

Source(s):Computational Intelligence & Neuroscience. 9/16/2022, p1-13. 13p.

Abstract:A supply chain's risk spillover effect will affect the customer's risk on the financing constraints of suppliers. This paper builds on the evaluation of customer risk by fuzzy mathematics, combines with the A-share listed companies in Shanghai and Shen...

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Design of Intelligent Financial Investment Risk Prediction System Based on Edge Computing.

Publication Type:Academic Journal

Source(s):Mobile Information Systems. 8/8/2022, p1-10. 10p.

Abstract:With the continuous development of economy and society, the financial market has ushered in its own peak, which has pushed the financial industry as a whole into a new stage. In this environment, the financial investment activities of the public and en...

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Analysis of Regional Financial Risk in Guangdong Province Based on the DCN Deep Learning Model.

Publication Type:Academic Journal

Source(s):Computational Intelligence & Neuroscience. 7/20/2022, p1-7. 7p.

Abstract:In the free flow of financial factors oriented to capital, returns will be accompanied by the concentration and diffusion of financial resources to form regional financial spatial differences, which is an objective phenomenon of regional financial prac...

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A Big Data Technique for Internet Financial Risk Control.

Publication Type:Academic Journal

Source(s):Mobile Information Systems. 7/15/2022, p1-9. 9p.

Abstract:The danger of losing funds on an investment or business enterprise is referred to as financial risk. Credit risk, liquidity risk, and operational risk are some of the most prevalent and different financial hazards. Financial risk control is an organiza...

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Enterprise Financial Risk Analysis Based on Improved Model C-Means Clustering Algorithm.

Publication Type:Academic Journal

Source(s):Security & Communication Networks. 7/12/2022, p1-12. 12p.

Abstract:As a provider of loans to SMEs, banks should prudently examine loan risks while ensuring that they provide loans to SMEs from the perspective of cooperating with policy implementation and controlling their own risks. The existing loan risk measurement ...

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