Results 151 to 160 of about 159,319 (353)
The article is about arrears in a retail credit portfolio of the Russian banks as one of the key indicators of its quality. An essence of the concepts "overdue" and "problem loan debt" (or a non-performing loan) are specified, the amount of these terms ...
V. Mazurin
doaj
Do specialization benefits outweigh concentration risks in credit portfolios of German banks? [PDF]
Lending specialization on certain industry sectors can have opposing effects on monitoring (including screening) abilities and on the sectoral concentration risk of a credit portfolio.
Böve, Rolf +2 more
core
Linking Sustainable Development Goals and Climate Action in the Oil and Gas Value Chain
ABSTRACT This study develops and tests a value‐chain framework to examine how climate‐related Sustainable Development Goal (SDG) commitments translate into governance actions, capability enhancements, and measurable reductions in total greenhouse gas emissions. We create a climate‐related SDG index encompassing SDGs 7, 8, 9, 12, and 13 and analyze data
Evgenia Anagnostopoulou
wiley +1 more source
The Influence of Credit Management on Loans Portfolio Performance of Commercial Banks in Kenya
George Oundo Muchere +2 more
openalex +2 more sources
Joint default probabilities and country risk [PDF]
The assessment of country risk is of crucial importance for both developing countries and international lenders and investors. Many existing country risk approaches are opaque and heavily rely on subjective choices.
Hameeteman, Daphne, Scholtens, Bert
core +1 more source
Loan-Based-Crowdfunding Investment as an alternative vehicle in channeling institutional and personal savings: the collaborative economy [PDF]
The financial disintermediation mechanism known as “loan-based-crowdfunding” has recently come under regulation in Spain. This competitive investment and finance vehicle is already well established in the US and British markets.
Roig Hernando, Jaume +2 more
core +1 more source
ABSTRACT This research takes a quantitative approach to investigating patterns in submissions to the Times Higher Education's sustainability‐focused Impact Ranking. Testing hypotheses developed from the quantification, rankings, and disclosures literatures, this research provides a first‐of‐its‐kind longitudinal exploration into the Impact Rankings to ...
Brandon Allan Dickson
wiley +1 more source
German Banks' Loan Portfolio Composition: Market-Orientation vs. Specialisation
Kai Rudolph, Andreas Pfingsten
openalex +1 more source
ABSTRACT This paper examines the nexus between financial markets (FM), mineral resources, and global energy transitions (ET) between 1990 and 2023 in the 20 leading countries exporting mineral resources, focusing on their impact on environmental sustainability.
Hamza Akram +5 more
wiley +1 more source
The article is about arrears in a retail credit portfolio of the Russian banks as one of the key indicators of its quality. An essence of the concepts "overdue" and "problem loan debt" (or a non-performing loan) are specified, the amount of these terms ...
V. Mazurin
doaj

