Results 21 to 30 of about 68,304 (312)

Shock Contagion, Asset Quality and Lending Behavior [PDF]

open access: yesSSRN Electronic Journal, 2018
This paper exploits the geopolitical conflict in Eastern Ukraine as a negative shock to banking sector and examines the shock transmission. We find that banks with more loans in the conflict areas during the pre-conflict period face a higher level of bad loans in other markets after the shock.
Pham, Tho   +2 more
openaire   +2 more sources

ANALISIS TINGKAT KESEHATAN PT. BPR WELERI MAKMUR DENGAN METODE CAMEL PADA PERIODE 2015-2018

open access: yesKeunis, 2020
This study aims to assess and analyze the health level of PT. BPR Weleri Makmur if calculated using the CAMEL (Capital, Asset Quality, Management, Earning, and Liquidity) method in the 2015-2018 period based on Bank Indonesia Director's Decree No. 30/12 /
Nabila Saskia Noer Rizky   +1 more
doaj   +1 more source

Investigating the Relationship between Liquidity Risk, Asset Quality, and Financing in Islamic and Conventional Banking Systems, Using PCSE and FGLS Models [PDF]

open access: yesJournal of Asset Management and Financing, 2019
Objective: Every banking system, whether Islamic or conventional, faces a wide range of risks, among which liquidity risk seems to be one of the most substantial.
mohammad nadiri   +2 more
doaj   +1 more source

Analyzing Performance of Islamic and Conventional Bank in Southeast Asia: The Firm Size View

open access: yesJurnal Ilmiah Akuntansi, 2020
This paper examines how the firm size of Islamic and Conventional bank different in performance of efficiency, stability and asset quality. The result of the study is aimed to see the extent of Islamic banks compete with conventional banks in the ASEAN ...
Vanica Serly   +2 more
doaj   +1 more source

Effect of the Asset Quality on the Bank Profitability

open access: yesInternational Journal of Economics and Finance, 2017
This study investigates whether non-performing loans effect the bank’s profitability in Turkey. The study applies a panel regression method to the quarterly data set including 1809 observation belongs to 55 Banks in Turkey during the period from 1st quarter of 2005 to 3rd quarter of 2016.
Eyup Kadioglu   +2 more
openaire   +3 more sources

Foresight scenarios of future developments for crop-livestock integration and livestock system in Dien Biên district. ASSET project [PDF]

open access: yes, 2022
A participatory approach of co-designing prospective scenarios was used to define futures of the crop-livestock integration practices and of livestock systems development at farms and territorial levels in Dien Bien District.
Le Trouher, Alice   +5 more
core  

The impact of efficiency on asset quality in banking

open access: yesThe European Journal of Finance, 2021
We investigate the impact of banks’ ability to minimise costs on asset quality, by assessing the temporal relationship between these variables in a sample of Italian banks over the period 2006–2015. We offer new insights into the channels through which bank efficiency affects non-performing loans by disentangling the short-term component of cost ...
Oleg Badunenko   +3 more
openaire   +1 more source

EU banks after the crisis: sinners in the hands of angry markets

open access: yesJournal of Banking and Financial Economics, 2018
European Union banks were severely hit by the global fi nancial crisis in 2008 and their stock prices and returns have generally not recovered since then, differently to what has been observed in other sectors (i.e., non-fi nancial corporations) and ...
Antonio Sánchez Serrano
doaj   +1 more source

Data quality enhanced asset management metadata model

open access: yes, 2009
Researchers have indicated that maintaining the quality of data is often acknowledged as problematic, but is also seen as critical to effective decision-making in engineering asset management (AM).
Jing Gao   +7 more
core   +1 more source

From Risk to Returns: An Analysis of Asset Quality, Financial Ratios, and Market Valuation in Indian Banks

open access: yesRisks
This study investigates the interplay between asset quality, financial ratios, and market valuation in Indian commercial banks over a twelve-year period (2014–2025).
Shireen Rosario, Sudha Mavuri
doaj   +1 more source

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