Results 11 to 20 of about 195,173 (169)

Research on U-shaped relationship between short-term debt for long-term use and supply chain enterprise default risk: Evidence from Chinese listed firms. [PDF]

open access: yesPLoS ONE, 2023
This paper empirically investigates the impact mechanism of short-term debt for long-term use and the default risk of supply chain firms with the data of Chinese A-share listed firms from 2007 to 2021.
Huaqiao Shen, Jinlong Chen
doaj   +2 more sources

The economic explainability of machine learning and standard econometric models-an application to the U.S. mortgage default risk

open access: yesInternational Journal of Strategic Property Management, 2021
This study aims to bridge the gap between two perspectives of explainability−machine learning and engineering, and economics and standard econometrics−by applying three marginal measurements.
Dong-sup Kim, Seungwoo Shin
doaj   +1 more source

Environmental, Social, and Governance Impact on Energy Sector Default Risk—Long-Term Issuer Credit Ratings Perspective

open access: yesFrontiers in Energy Research, 2022
The aim this study is to analyze the impact of environmental, social, and governance (ESG) measures on energy sector credit ratings. The main hypothesis is as follows: The ESG measures have had a significant impact on energy sector credit ratings during ...
Patrycja Chodnicka-Jaworska
doaj   +1 more source

Circular Economy and Default Risk

open access: yesSSRN Electronic Journal, 2021
By decoupling economic growth from the exploitation of virgin raw materials and environmental degradation, as well as by developing practices more resilient to the economic cycle, Circular Economy (CE) offers effective hedging of linear risks and shields from the risk of stranded values.
Zara, Claudio, Ramkumar, Shyaam
openaire   +3 more sources

On the spillover of exchange rate risk into default risk [PDF]

open access: yesEkonomski Anali, 2009
In order to reduce the exchange-rate risk, banks in emerging markets are typically denominating their loans in foreign currencies. However, in the event of a substantial depreciation of the local currency, the payment ability of a foreign-currency ...
Božović Miloš   +2 more
doaj   +1 more source

Insolvency Risk and Value Maximization: A Convergence between Financial Management and Risk Management

open access: yesRisks, 2021
This conceptual paper focuses on the relationship between insolvency, capital structure, and value creation. The aim is twofold: to define risk-based capital measures able to absorb the effects of financial distress and avoid corporate default; and to ...
Alessandro Gennaro
doaj   +1 more source

CIRCULAR ECONOMY AND DEFAULT RISK

open access: yesJournal of Financial Management, Markets and Institutions, 2022
By decoupling economic growth from the exploitation of virgin raw materials and environmental degradation, as well as by developing practices more resilient to the economic cycle, Circular Economy (CE) offers effective hedging of linear risks and shields
CLAUDIO ZARA, SHYAAM RAMKUMAR
doaj   +1 more source

Deferred Taxation Under Default Risk [PDF]

open access: yesSSRN Electronic Journal, 2018
zbMATH Open Web Interface contents unavailable due to conflicting licenses.
Carini, Cristian   +3 more
openaire   +5 more sources

Maturity, Indebtedness, and Default Risk [PDF]

open access: yesSSRN Electronic Journal, 2009
We advance quantitative-theoretic models of sovereign debt by proving the existence of a downward sloping equilibrium price function for long-term debt and implementing a novel method to accurately compute it. We show that incorporating long-term debt allows the model to match Argentina's average external debt-to-output ratio, average spread on ...
Satyajit Chatterjee, Burcu Eyigungor
openaire   +7 more sources

Default Risk on Islamic Banking in Indonesia

open access: yesJournal of Economics, Business & Accountancy Ventura, 2021
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
Budiandru Budiandru
doaj   +1 more source

Home - About - Disclaimer - Privacy