Results 131 to 140 of about 159,319 (353)
SELECTION OF AN OPTIMAL LOAN AND DEPOSIT PORTFOLIO BASED ON THE BANK’S PARAMETRIC MODEL [PDF]
М.А. Gorskiy
openalex +1 more source
Loan Portfolio Dataset From MakerDAO Blockchain Project
Decentralized finance (DeFi) offers a range of financial instruments and services that leverage the capabilities of web3 technology. Maker protocol, which enables users to obtain loans backed by cryptocurrencies, is one of them. Unlike traditional banks, Maker’s data is transparently recorded on the Ethereum blockchain.
Yatipa Chaleenutthawut +6 more
openaire +3 more sources
The Effects of Diversification on Banks’ Expected Returns [PDF]
In financial theory, the optimal allocation of assets and its relationship with profitability has been one of the main concerns; the question has always been if banks should focus or diversify their assets.
Angela González Arbelaéz +2 more
core
ABSTRACT This study investigates how environmental, social, and governance (ESG) practices influence the financial sustainability of microfinance institutions (MFIs) worldwide. Drawing inspiration from Adam Smith's perspectives on moral sentiments and institutional cohesion, the research examines whether strategic integration of ESG dimensions can ...
Shamsuddin Ahamad +6 more
wiley +1 more source
The Considerations for the Successful Launch of the Portfolio Loan Guarantee System
Hong Jae Keun
openalex +1 more source
ANALYSIS OF THE INFLUENCE OF RISKS ON THE FORMATION OF A LOAN PORTFOLIO OF A COMMERCIAL BANK
P.G Isayeva, M.G Pirmuhamedova
openalex +2 more sources
Factors Influencing Loan Portfolio Quality of Microfinance Institutions in Haiti
Rocheny Sifrain
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The loan structure and housing tenure decisions in an equilibrium model of mortgage choice [PDF]
The objective of this paper is to understand how loan structure affects (i) the borrower’s selection of a mortgage contract and (ii) the aggregate economy. We develop a quantitative equilibrium theory of mortgage choice where households can choose from a
Carlos Garriga +2 more
core
Comparative analysis of alternative credit risk models : an application on German middle market loan portfolios [PDF]
In recent years new methods and models have been developed to quantify credit risk on a portfolio basis. CreditMetrics (tm), CreditRisk+, CreditPortfolio (tm) are among the best known and many others are similar to them.
Kern, Markus, Rudolph, Bernd
core +1 more source
ABSTRACT The role of Development Finance Institutions (DFIs) in achieving the Sustainable Development Goals (SDGs) is a topic of growing scholarly importance. While existing literature has mapped the thematic scope of this field, a critical diagnosis of its intellectual structure and inherent biases is missing.
Juan Martinez Alvarez +3 more
wiley +1 more source

