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Affiliation
ISSN
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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
6,311
Downloads
9,404
Views
Citations
An Analytical Portfolio Credit Risk Model Based on the Extended Binomial Distribution
(Articles)
Sven Fischer
Journal of Financial Risk Management
Vol.8 No.3
,September 26, 2019
DOI:
10.4236/jfrm.2019.83012
834
Downloads
3,153
Views
Citations
Impact of Credit Risk Management on the Financial Performance of Microfinance Institutions in Nigeria: A Qualitative Review
(Articles)
John Agbana
,
Josiah Ayoola Bukoye
,
Ifeyinwa Chinyere Arinze-Emefo
Open Journal of Business and Management
Vol.11 No.5
,September 8, 2023
DOI:
10.4236/ojbm.2023.115113
286
Downloads
2,483
Views
Citations
This article belongs to the Special Issue on
Business Administration and Management
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
777
Downloads
2,076
Views
Citations
Does Psychometric Testing in Microfinance Actually Work?—The Case of Sogesol
(Articles)
Rocheny Sifrain
Journal of Financial Risk Management
Vol.9 No.3
,September 29, 2020
DOI:
10.4236/jfrm.2020.93016
923
Downloads
2,843
Views
Citations
Credit Risk Management and Financial Performance: A Case of Bank of Africa (U) Limited
(Articles)
Ndyagyenda Catherine
Open Journal of Business and Management
Vol.8 No.1
,November 25, 2019
DOI:
10.4236/ojbm.2020.81002
3,577
Downloads
25,874
Views
Citations
A 2-Factor Model for Inclusion of Voluntary Termination Risk in Automotive Retail Loan Portfolios
(Articles)
Simone Caenazzo
,
Ksenia Ponomareva
,
Mark Pain
,
Rob Wareing
,
Jameel Shivji
Journal of Mathematical Finance
Vol.13 No.3
,August 24, 2023
DOI:
10.4236/jmf.2023.133021
71
Downloads
362
Views
Citations
This article belongs to the Special Issue on
Mathematical Finance and Applications
Credit Risk Management Practices and Performance of Commercial Banks in South Sudan
(Articles)
Maurice Olobo
,
Gerald Karyeija
,
Protazio Sande
,
Steven Khoch
Journal of Financial Risk Management
Vol.10 No.3
,September 13, 2021
DOI:
10.4236/jfrm.2021.103018
840
Downloads
6,628
Views
Citations
Modern Portfolio Theory, Digital Portfolio Theory and Intertemporal Portfolio Choice
(Articles)
C. Kenneth Jones
American Journal of Industrial and Business Management
Vol.7 No.7
,July 6, 2017
DOI:
10.4236/ajibm.2017.77059
2,185
Downloads
6,404
Views
Citations
This article belongs to the Special Issue on
Modern Portfolio Theory and Application
Rural Household’s Risk Attitude and Credit Rationing: The Case of Chongqing in China
(Articles)
Xinjun Pang
,
Yunwu Kuang
,
Xiaohong Gong
American Journal of Industrial and Business Management
Vol.4 No.12
,December 9, 2014
DOI:
10.4236/ajibm.2014.412079
3,743
Downloads
4,629
Views
Citations
Equivalent Risky Allocation: The New ERA of Risk Measurement for Heterogeneous Investors
(Articles)
Séverine Plunus
,
Roland Gillet
,
Georges Hübner
American Journal of Industrial and Business Management
Vol.5 No.6
,June 9, 2015
DOI:
10.4236/ajibm.2015.56035
4,152
Downloads
5,129
Views
Citations
The Role of Collateral in Credit Markets
(Articles)
Joseph Atta-Mensah
Journal of Mathematical Finance
Vol.5 No.4
,November 5, 2015
DOI:
10.4236/jmf.2015.54027
4,149
Downloads
7,386
Views
Citations
Research on P2P Credit Risk Assessment Model Based on RBM Feature Extraction—Take SME Customers as an Example
(Articles)
Jianhui Yang
,
Qiman Li
,
Dongsheng Luo
Open Journal of Business and Management
Vol.7 No.4
,August 7, 2019
DOI:
10.4236/ojbm.2019.74107
688
Downloads
1,909
Views
Citations
Regulation of Leverage Ratio, Credit Expansion and Credit Risk of Commercial Banks
(Articles)
Lin Li
Open Journal of Social Sciences
Vol.8 No.4
,April 22, 2020
DOI:
10.4236/jss.2020.84027
813
Downloads
2,746
Views
Citations
The Policy Role in the Stock Markets
(Articles)
Moawia Alghalith
,
Esha Ramlogan
,
Martin Franklin
Theoretical Economics Letters
Vol.2 No.2
,May 24, 2012
DOI:
10.4236/tel.2012.22042
4,591
Downloads
8,502
Views
Citations
Combining Upside and Downside Volatility in Investment Decision
(Articles)
Riccardo Bramante
,
Silvia Facchinetti
Journal of Mathematical Finance
Vol.12 No.1
,February 9, 2022
DOI:
10.4236/jmf.2022.121006
164
Downloads
1,433
Views
Citations
Brief Review on Asset Selection and Portfolio Construction: Diversification, Risk and Return
(Articles)
Jean Cedric Napon
American Journal of Industrial and Business Management
Vol.13 No.11
,November 30, 2023
DOI:
10.4236/ajibm.2023.1311074
82
Downloads
373
Views
Citations
Concentration Risk: The Comparison of the Ad-Hoc Approach Indexes
(Articles)
Badreddine Slime
,
Moez Hammami
Journal of Financial Risk Management
Vol.5 No.1
,March 31, 2016
DOI:
10.4236/jfrm.2016.51006
3,360
Downloads
5,956
Views
Citations
The Discrimination Method and Empirical Research of Individual Credit Risk Based on Bilateral Clustering
(Articles)
Li Shuai
,
Hui Lai
,
Chao Xu
,
Zongfang Zhou
Modern Economy
Vol.4 No.7
,July 11, 2013
DOI:
10.4236/me.2013.47049
4,541
Downloads
6,865
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
5,189
Downloads
7,345
Views
Citations
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