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credit risk
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Bibliographies
63
1
A New Approach to Risk Attribution and Its Application in Credit Risk Analysis
2
A Multi-State Approach to Modelling Intermediate Events and Multiple Mortgage Loan Outcomes
3
Credit Risk Migration and Economic Cycles
4
Impact of Credit Risk on Momentum and Contrarian Strategies: Evidence from South Asian Markets
5
Credit Risk Migration and Economic Cycles
6
credit risk management with the purpose of optimizing the performances of the financial institutions
7
the role of corporate governance and risk management on banking financial performance in indonesia
8
application of kmv model to assess credit risk of individual entrepreneurs
9
generalized creditrisk+ model and applications
10
capital adequacy of the banking industry in indonesia
11
does high-quality auditing decrease the use of collateral? analysis from the perspective of lenders’ self-protection
12
application of the scoring model for assessing the credit rating of principals
13
the investment management of bank
14
ЧЕЛОВЕК МЕЖДУ РЕАЛЬНОСТЬЮ И КИБЕРПРОСТРАНСТВОМ
15
development of a credit policy for markets subject to credit rationing
16
Credit risk estimate using internal explicit knowledge
17
Determinants of credit risk in the banking system in Sub-Saharan Africa
18
Determinants of the credit risk in developing countries: a case of Kosovo banking sector
19
Credit risk determinants in Sub-Saharan banking systems: Evidence from five countries and lessons learnt from Central East and South East European countries
20
The impact of macroeconomic variables on the evolution of the credit risk rate
21
The impact of operational risk incidents and moderating influence of corporate governance on credit risk and firm performance
22
Firm’s Credit Risk in the Presence of Market Structural Breaks
23
Credit risk and macroeconomic stress tests in China
24
Information system for the measurement of credit risk in financial institutions
25
A trust-score-based access control in assured information sharing systems: An application of financial credit risk score models
26
Recent regulation in credit risk management: A statistical framework
27
Neural Network Based Relation Extraction of Enterprises in Credit Risk Management
28
Decision support system for credit risk management: An empirical study
29
The relationship between credit risk management and non-performing assets of commercial banks in India
30
What influences banks’ choice of credit risk management practices? Theory and evidence
31
Networks and news in credit risk management
32
Scoring in microfinance: Credit risk management tool -Case of Morocco-
33
Credit Risk Management and Evaluation of Large User Transaction in Electricity Market
34
Credit risk management: A comparative study of Islamic banks and conventional banks in Pakistan
35
Poster: DyCREM: Dynamic credit risk management using edge-based blockchain
36
Correction to: Bank–insurer–firm tripartite interconnectedness of credit risk exposures in a cross-shareholding network (Risk Management, (2018), 20, 4, (273-303), 10.1057/s41283-018-0033-4)
37
An empirical study on credit risk management: The case of nonbanking financial companies
38
Evaluation research on commercial bank counterparty credit risk management based on new intuitionistic fuzzy method
39
Rethinking economic capital management through the integrated derivative-based treatment of interest rate and credit risk
40
Credit risk management and banking business in Europe
41
Adapt to the outside but stay true to your DNA-report on the 5 <sup>th</sup> international conference on credit risk analysis and management
42
The impact of credit risk management on financial performance of commercial banks in Malaysia: Pre- and post-financial-crisis period
43
Credit risk management and cyclicality of bank lending to non-financial corporations in Italy during the financial crisis: 2008-2012. A modeling study
44
CREDIT RISK MANAGEMENT IN THE COMMERCIAL BANKS IN ROMANIA
45
Comparing trade-off adjustments in credit risk analysis of mortgage loans using AHP, Delphi and MACBETH
46
Novel evolutionary multi-objective soft subspace clustering algorithm for credit risk assessment
47
Corporate payments networks and credit risk rating
48
Nonlinearities in the oil effects on the sovereign credit risk: A self-exciting threshold autoregression approach
49
A dynamic credit risk assessment model with data mining techniques: evidence from Iranian banks
50
Agent-based mapping of credit risk for sustainable microfinance.
51
Forecasting SMEs’ credit risk in supply chain finance with an enhanced hybrid ensemble machine learning approach
52
Research on credit risk evaluation of online supply chain finance with triangular fuzzy information
53
Capital structure and firm performance in European SMEs: Does credit risk make a difference?
54
Macroprudential stress testing of credit risk: A practical approach for policy makers
55
an entropy model of credit risk contagion in the crt market
56
shaping the credit risk management of banks
57
complexity study of the credit risk of a business group
58
an analytic hierarchy model for classification algorithms selection in credit risk analysis
59
p2p network lending, loss given default and credit risks
60
modelling counterparty credit risk in czech interest rate swaps
61
Risk Factor Evolution for Counterparty Credit Risk under a Hidden Markov Model
62
Assessing Stablecoin Credit Risks
63
Credit Risk Prediction Based on Psychometric Data