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34.086  Articles
The purpose of this study is to investigate the moderating role of manager age on the association between income smoothing and stock price crashes and the association between default risk and stock price crashes. The data was collected from the samples of... see more

This study aims to investigate whether the problematic firms that were listed under PN17 really suffer financial difficulties prior to their fraud perpetration by using the proxy of default risk. Then, the effect of the default risk will be analysed on th... see more

This study represents the increasing significance of credit default swaps for European capital markets, namely Germany, France, Belgium, Ireland, Italy, Portugal, Spain, Greece, Bulgaria and Romania. The period of analysis is between 2003- 2016 years. Aft... see more

AbstractGlobal financial crisis in 2008 has driven special attention to systemic banking sector risk that cause byindividual bank default. Though, banking crisis significantly affect economic growth and national macroeco-nomic condition. Individual bank d... see more

The article deals with two subjects rarely intersecting in the literature: risk of default and development banks. As risk management is critical to maximizing profit in commercial banks, there are many analyzes of this type. But perhaps because the develo... see more

Credit Risk is an important dimension to be considered in the risk management procedures of financial institutions. Is a particularly useful in emerging markets where default rates on bank loan products are usually high. It is usually calculated through h... see more

The problem of default by debtors becomes a primary concern for Islamic banking recently. This study analyzes the effect of economic pressure on the risk of default on Islamic banks, both in the short and long term, the risk response of default, and also ... see more

The coronavirus (covis-19) is impacting all sectors across the world. Moreover, the covid-19 pandemic will accelerate change in the world economy. That brings both opportunity and danger, says Henry Curr in The Economist. In dealing with global disaster w... see more

The specific credit risks can be efficiently used to defense the damage of default behavior, in which, the core problem is how to evaluate the default probability (expected default frequency, EDF) of entities. This paper measures and predicts the default ... see more

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