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Bank Loan Portfolio Credit Risk Analysis
This chapter illustrates an analysis of banking loan portfolio credit risk. The objective is to select the optimal loan portfolio that achieves the bank's investment objectives with an acceptable credit risk according to their predefined limits. Stochastic optimization constructs an efficient frontier of optimal loan portfolios in banking with maximal ...openaire +1 more source
Decreasing the share of non-performing loans is critical for ensuring financial stability, enhancing creditavailability, improving cost efficiency, strengthening risk management, fostering investor confidence, complying withregulatory requirements, and supporting sustainable economic growth.
Avazkhon Agzamov, Dilrabo Malikova
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Avazkhon Agzamov, Dilrabo Malikova
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Market Concentration and Commercial Bank Loan Portfolios
SSRN Electronic Journal, 2008This paper estimates the relationship between banking market concentration and high-risk portfolio strategies at commercial banks. I use the unprecedented changes in the degree of competition in local banking markets that occurred after 1980 to estimate the impact of market competition on the risk profile of commercial bank lending.
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TYPES OF INDUSTRIAL LOAN PORTFOLIO AS AN IMPORTANT COMPONENT OF THE BANK’S CORPORATE LOAN PORTFOLIO
From the Baltic to the Black Sea: the Formation of Modern Economic Area, 2023openaire +1 more source
The financing of local government in China: Stimulus loan wanes and shadow banking waxes
Journal of Financial Economics, 2020Zhuo Chen, Zhiguo He
exaly
Corporate misreporting and bank loan contracting☆
Journal of Financial Economics, 2008John R Graham, Jiaping Qiu
exaly
Customer concentration and loan contract terms
Journal of Financial Economics, 2017Murillo Campello
exaly

