Results 331 to 340 of about 8,808,649 (394)

Examining Airlines' Environmental and Social Disclosure: Does Board Gender Diversity Matter?

open access: yesBusiness Strategy and the Environment, EarlyView.
ABSTRACT This study investigates the influence of board gender diversity (BGD) on environmental and social disclosure (ESD) within the airline industry, an area that remains underexplored despite increasing stakeholder scrutiny. We apply automated textual analysis to annual reports of Skytrax's top global airlines from 2016 to 2022 to measure the ...
Enoch Opare Mintah   +2 more
wiley   +1 more source

Credit risk and credit derivatives in banking [PDF]

open access: yes, 2002
Wir verwenden den industrieökonomischen Ansatz der Theorie der Bank und untersuchen eine Bank mit Marktmacht im Einlagen- und Kreditmarkt bei Kreditrisiko. Ziel der Untersuchung sind Aussagen darüber, wie das Kreditrisiko optimales Verhalten im Einlagen- und Kreditmarkt beeinflusst, wenn Kreditderivate verfügbar sind.
Udo Broll, Thilo Pausch, Peter Welzel
openaire   +3 more sources

Credit Risk Modeling

Encyclopedia of Systems and Control, 2020
T. Bielecki
semanticscholar   +2 more sources

RETRACTED: Research on credit risk management of small and medium-sized enterprise in the industrial and commercial bank of China

The International Journal of Electrical Engineering & Education, 2021
As the largest commercial bank in China, ICBC is a typical representative of the electronic business of SMEs. However, the electronic business for SMEs has credit risks and needs to continuously strengthen the credit risk management for SMEs.
Ning Yida, Luo He-hua
semanticscholar   +1 more source

Liquidity and Credit Risk [PDF]

open access: possibleThe Journal of Finance, 2003
ABSTRACTWe develop a structural bond valuation model to simultaneously capture liquidity and credit risk. Our model implies that renegotiation in financial distress is influenced by the illiquidity of the market for distressed debt. As default becomes more likely, the components of bond yield spreads attributable to illiquidity increase.
Jan ERICSSON, Olivier RENAULT
openaire   +4 more sources

Coping with Credit Risk [PDF]

open access: possibleSSRN Electronic Journal, 2001
PurposeThis paper aims to propose a new method for credit risk allocation among economic agents.Design/methodology/approachThe paper considers a pool of bank loans subject to a credit risk and develops a method for decomposing the credit risk into idiosyncratic and systematic components.
Harris Schlesinger   +3 more
openaire   +3 more sources

The Interactional Relationships Between Credit Risk, Liquidity Risk and Bank Profitability in MENA Region

Global Business Review, 2020
The purpose of this article is to investigate the relationship between credit risk, liquidity risks and bank profitability within the Middle East and North African (MENA) countries.
Hakimi Abdelaziz   +2 more
semanticscholar   +1 more source

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

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

Portfolio Credit Risk [PDF]

open access: possibleSSRN Electronic Journal, 1998
In order to take advantage of credit portfolio management opportunities, management must first answer several technical questions: What is the risk of a given portfolio? How do different macroeconomic scenarios, at both the regional and the industry sector level, affect the portfolio's risk profile? What is the effect of changing the portfolio mix? How
openaire   +2 more sources

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