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Can Banks Circumvent Minimum Capital Requirements? The Case of Mortgage Portfolio under Basel II
(Articles)
Christopher Henderson
,
Julapa Jagtiani
Journal of Mathematical Finance
Vol.3 No.3A
,October 25, 2013
DOI:
10.4236/jmf.2013.33A006
4,215
Downloads
6,699
Views
Citations
This article belongs to the Special Issue on
Corporate Finance
The Effects of Capital on Bank Risk-Taking: New Evidence for the European Banking System
(Articles)
Josanco Floreani
,
Giulio Velliscig
,
Piserà Stefano
,
Maurizio Polato
Theoretical Economics Letters
Vol.13 No.3
,June 30, 2023
DOI:
10.4236/tel.2023.133037
80
Downloads
430
Views
Citations
Bank Regulation Based on Self-Assessment: Extension of an Equilibrium Model
(Articles)
Renlong Miao
,
Xinzhu Dai
Journal of Financial Risk Management
Vol.11 No.1
,March 17, 2022
DOI:
10.4236/jfrm.2022.111009
185
Downloads
741
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
188
Downloads
1,251
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
1,454
Downloads
4,233
Views
Citations
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
100
Downloads
404
Views
Citations
Commercial Bank Lending and Economic Growth—The Nigerian Experience (1970-2013)
(Articles)
Joseph Olusegun Ajibola
Open Access Library Journal
Vol.2 No.5
,May 7, 2015
DOI:
10.4236/oalib.1101431
2,742
Downloads
7,331
Views
Citations
Predicting Multiple-Borrowing Default among Microfinance Clients
(Articles)
Kanish Debnath
,
Priyanka Roy
Theoretical Economics Letters
Vol.8 No.10
,June 20, 2018
DOI:
10.4236/tel.2018.810116
1,582
Downloads
3,544
Views
Citations
Consequences of the Financial Crisis and Capital Adequacy in Greek Banks
(Articles)
Simeon Karafolas
,
Vaia Stergiou
Journal of Financial Risk Management
Vol.12 No.4
,October 27, 2023
DOI:
10.4236/jfrm.2023.124016
115
Downloads
943
Views
Citations
Nexus between Bank Credit and Economic Growth in Nigeria: Evidence from VEC Model
(Articles)
Garba Salisu Balago
Open Access Library Journal
Vol.1 No.8
,November 3, 2014
DOI:
10.4236/oalib.1100952
1,372
Downloads
3,888
Views
Citations
Bank Portfolio Management under Credit Market Imperfections
(Articles)
Indrajit Mallick
Journal of Mathematical Finance
Vol.9 No.3
,June 28, 2019
DOI:
10.4236/jmf.2019.93013
788
Downloads
2,119
Views
Citations
System of Guarantees and Access to Leasing: the Case of Entreprises in the Republic of Congo
(Articles)
Serge Bruno Ikiemi
Modern Economy
Vol.12 No.3
,March 29, 2021
DOI:
10.4236/me.2021.123033
308
Downloads
879
Views
Citations
Reflections on Bank Credit Certification for Vocational Education Credits
(Articles)
Xiaoli He
Creative Education
Vol.14 No.1
,January 17, 2023
DOI:
10.4236/ce.2023.141003
78
Downloads
377
Views
Citations
Did Directed Credit Impact the Effectiveness of Brazilian Monetary Policy in the Post Inflation-Target Period?
(Articles)
Marivia de Aguiar Nunes
,
Augusto Mussi Alvim
Modern Economy
Vol.12 No.1
,January 28, 2021
DOI:
10.4236/me.2021.121004
387
Downloads
1,130
Views
Citations
An Application of Bayesian Inference on the Modeling and Estimation of Operational Risk Using Banking Loss Data
(Articles)
Kashfia N. Rahman
,
Dennis A. Black
,
Gary C. McDonald
Applied Mathematics
Vol.5 No.6
,April 2, 2014
DOI:
10.4236/am.2014.56082
4,967
Downloads
7,712
Views
Citations
Financial Market Development, Bank Risk with Key Indicators and Their Impact on Financial Performance: A Study from Pakistan
(Articles)
Hafiz Waqas Kamran
,
Naukhaiz Chaudhry
,
Muhammad Muzammal Murtaza
,
Nazish Zafar
,
Ayesha Yousaf
,
Huma Nazish
American Journal of Industrial and Business Management
Vol.6 No.3
,March 31, 2016
DOI:
10.4236/ajibm.2016.63033
3,739
Downloads
6,079
Views
Citations
Empirical Study on Credit Risk of Our Listed Company Based on KMV Model
(Articles)
Liang Lin
,
Ting Lou
,
Ni Zhan
Applied Mathematics
Vol.5 No.13
,July 22, 2014
DOI:
10.4236/am.2014.513204
5,210
Downloads
7,393
Views
Citations
Extending Multi-Period Pluto and Tasche PD Calibration Model Using Mode LRDF Approach
(Articles)
Denis Surzhko
Journal of Mathematical Finance
Vol.4 No.4
,August 28, 2014
DOI:
10.4236/jmf.2014.44026
6,335
Downloads
9,477
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
3,937
Downloads
9,352
Views
Citations
This article belongs to the Special Issue on
Credit and Further Valuation Adjustments
The Research on the Path of Rural Bank’s Transformation Based on Bourdieu*’s Practice Theory: A Case Study of Wuwei Rural Bank in China
(Articles)
Huifen Wang
,
Meilin Chen
,
Bin Zheng
Journal of Service Science and Management
Vol.10 No.3
,June 26, 2017
DOI:
10.4236/jssm.2017.103025
1,569
Downloads
3,105
Views
Citations
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