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Corporate Social Responsibility and Credit Risk

Finance Research Letters, 2020
We study the effects of corporate social responsibility on credit risk for U.S. and European firms over the period 2003 to 2018. Differentiating between the various facets of corporate social responsibility shows that only environmental aspects reduce ...
C. Bannier, Yannik Bofinger, Björn Rock
semanticscholar   +1 more source

Credit Risk-Mitigation Techniques and Credit Risk Protection

2022
Abstract This chapter assesses credit risk mitigation (CRM) techniques and credit risk protection. Managing the risk of default of bank counterparties is, if possible, the most important objective of banks engaged in lending. The lower the counterparty’s creditworthiness, the stronger the collateral must be for a bank to be prepared to ...
openaire   +2 more sources

Credit Risk and Credit Rationing

The Quarterly Journal of Economics, 1960
I. Approaches to credit rationing, 258. — II. The influence of credit risk on loan payoff, 259. — III. Implications for lender behavior and borrower access to credit, 267. — IV. The central bank's influence, 275.
openaire   +1 more source

Mining Semantic Soft Factors for Credit Risk Evaluation in Peer-to-Peer Lending

Journal of Management Information Systems, 2020
While Peer-to-Peer (P2P) lending is rapidly growing, it is also accompanied by high credit risk due to information asymmetry. Besides conventional hard information, soft information also enters into the lending decision process.
Zhao Wang   +3 more
semanticscholar   +1 more source

ESG, Material Credit Events, and Credit Risk

Journal of Applied Corporate Finance, 2019
A growing body of research has extended the analysis of the materiality of ESG criteria from the perspective of equity investors to creditors. Past research and analysis have demonstrated the link between better management of ESG criteria and better ...
Witold J. Henisz, J. McGlinch
semanticscholar   +1 more source

Credit Risk

2007
Abstract Part I provided a conceptual overview of the scheme of the book. This involved a series of five structures. The first is the introduction of varied risks into the financial system in the form of credit risk; this is the subject of section 2.1 of this chapter. The remaining four structures are the four types of financial position,
openaire   +2 more sources

The impact of operational risk incidents and moderating influence of corporate governance on credit risk and firm performance

International Journal of Accounting and Information Management, 2019
Purpose The purpose of this paper is to examine the association among operational risk incidents, corporate governance, credit risk and firm performance. Design/methodology/approach First, the authors regress corporate credit risk on the incurrence of
C. Ko, Picheng Lee, A. Anandarajan
semanticscholar   +1 more source

Credit risk

1999
Διπλωματική εργασία - Οικονομικό Πανεπιστήμιο Αθηνών.
openaire   +2 more sources

Carbon neutrality, bank lending, and credit risk: Evidence from the Eurozone.

Journal of Environmental Management, 2021
Muhammad Umar   +3 more
semanticscholar   +1 more source

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