Works matching DE "LOAN portfolio management"
Results: 100
THE CONSEQUENCES OF MORTGAGE CREDIT EXPANSION: EVIDENCE FROM THE U.S. MORTGAGE DEFAULT CRISIS.
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- Quarterly Journal of Economics, 2009, v. 124, n. 4, p. 1449, doi. 10.1162/qjec.2009.124.4.1449
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Loan Portfolio Performance Evaluation by Using Stochastic Recovery Rate.
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- Journal of Applied Research on Industrial Engineering, 2024, v. 11, n. 1, p. 116, doi. 10.22105/jarie.2023.346023.1478
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BANK LOAN QUALITY ANALYSIS.
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- Annals of DAAAM & Proceedings, 2011, p. 979
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MEASURING THE EFFICIENCY OF SUB-SAHARAN AFRICA'S MICROFINANCE INSTITUTIONS AND ITS DRIVERS.
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- Annals of Public & Cooperative Economics, 2013, v. 84, n. 4, p. 399, doi. 10.1111/apce.12021
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State Bank sets mandatory housing loan targets for banks.
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- Housing Finance International, 2020, v. 35, n. 1, p. 12
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Mortgage Lending in Kazakhstan.
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- Housing Finance International, 2004, v. 19, n. 2, p. 32
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A New Proposal for Loan Modifications.
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- Yale Journal on Regulation, 2009, v. 26, n. 2, p. 417
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Assuring Failure: Implementation Design and Policy Environment of a Federal Program Provision.
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- American Review of Public Administration, 1993, v. 23, n. 3, p. 263, doi. 10.1177/027507409302300305
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Microenterprise Lending At The Grameen Bank: Effective Lending Rates On A Sample Loan Portfolio.
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- B>Quest, 2009, p. 1
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How Should Subnational Government Borrowing Be Regulated? Some Cross-Country Empirical Evidence.
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- IMF Staff Papers, 2006, v. 53, n. 3, p. 426, doi. 10.2307/30035920
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MEASUREMENT OF LOAN PORTFOLIO RISK.
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- Economics: Innovative & Economic Research Journal / Casopis za Ekonomsku Teoriju i Analizu, 2013, v. 2, n. 1, p. 63, doi. 10.7251/OIK1301006S
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THE IMPACT OF NON-PERFORMING LOANS ON HOUSEHOLDS ON THE FINANCIAL PERFORMANCE OF BANKS IN MACEDONIA.
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- Horizons Series A, 2018, v. 23, p. 103, doi. 10.20544/HORIZONS.A.23.2.18.P07
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METHODICAL APPROACHES TO THE FORMATION OF THE FINANCIAL INSTITUTION SECURITY SYSTEM.
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- Journal of Security & Sustainability Issues, 2019, v. 8, n. 4, p. 747, doi. 10.9770/jssi.2019.8.4(17)
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BANKALARDA TEMİNAT RİSKİNİN AZALTILMASI AMACIYLA GAYRİMENKUL DEĞERLEMESİNDE BİLGİ PAYLAŞIMI.
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- Journal of Finance Letters / Maliye Finans Yazıları Dergisi, 2012, v. 26, n. 97, p. 37
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Towards an investigation of credit risk determinants in Eurozone countries.
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- Journal of Accounting & Management Information Systems / Contabilitate si Informatica de Gestiune, 2016, v. 15, n. 1, p. 27
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Circular 3/2010, de 29 de junio, del banco de españa de modificación de la circular 4/2004.
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- Revista Técnica Contable, 2010, v. 62, n. 734, p. 61
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Size and book-to-market anomalies and omitted leverage risk.
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- European Journal of Finance, 2010, v. 16, n. 3, p. 263, doi. 10.1080/13518470903314402
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Residential Mortgage Credit Derivatives.
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- Real Estate Economics, 2011, v. 39, n. 4, p. 671, doi. 10.1111/j.1540-6229.2011.00309.x
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Credit Risk Estimation for Small Businesses Based on a Statistical Method.
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- Asia-Pacific Financial Markets, 2002, v. 9, n. 2, p. 101, doi. 10.1023/A:1022286001745
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The Role of Local Depositors in Controlling Expenses in Small-Scale Financial Intermediation: An Empirical Analysis.
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- Economica, 2007, v. 74, n. 296, p. 713, doi. 10.1111/j.1468-0335.2007.00592.x
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Copula-Based Formulas to Estimate Unexpected Credit Losses (The Future of Basel Accords?) Fernando F. Moreira Copula-Based Formulas to Estimate Unexpected Credit Losses.
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- Financial Markets, Institutions & Instruments, 2010, v. 19, n. 5, p. 381, doi. 10.1111/j.1468-0416.2010.00162.x
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Systemic Bank Risk in Brazil: A Comprehensive Simulation of Correlated Market, Credit, Sovereign and Inter-Bank Risks.
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- Financial Markets, Institutions & Instruments, 2009, v. 18, n. 4, p. 243, doi. 10.1111/j.1468-0416.2009.00149.x
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THE ROLE OF MARKETING IN MICROCREDIT INSTITUTIONS.
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- Review of Management & Economic Engineering, 2011, v. 10, n. 2, p. 23
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În pregătire, un nou model de provizionare a creditelor şi a altor active financiare.
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- Audit Financiar, 2013, v. 11, n. 100, p. 87
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IMPACT OF BRANCH BANKING ON BANK FIRM RISK VIA GEOGRAPHIC MARKET DIVERSIFICATION.
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- Quarterly Journal of Business & Economics, 1988, v. 27, n. 2, p. 73
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Calculation of an Efficient Frontier for a Commercial Loan Portfolio.
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- Journal of Portfolio Management, 1993, v. 19, n. 2, p. 39, doi. 10.3905/jpm.1993.409434
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The Third Liberty Loan.
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- Journal of Education, 1918, v. 87, n. 20, p. 534
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Norwegian Petroleum Wealth and Universal Ownership.
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- Corporate Governance: An International Review, 2007, v. 15, n. 3, p. 427, doi. 10.1111/j.1467-8683.2007.00576.x
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Improving Loan Portfolio Optimization by Importance Sampling Techniques: Evidence on Italian Banking Books.
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- Economic Notes, 2014, v. 43, n. 2, p. 167, doi. 10.1111/ecno.12019
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LOAN-PORTFOLIO QUALITY AND MANAGERIAL EFFICIENCY IN BANKING.
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- Annales Universitatis Apulensis - Series Oeconomica, 2015, v. 17, n. 2, p. 1
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FINANCIAL LITERACY AND RESULTANT STABILITY OF THE FINANCIAL SYSTEM.
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- Proceedings of the Faculty of Economics in East Sarajevo / Zbornik Radova Ekonomskog Fakulteta u Istočnom Sarajevu, 2012, n. 6, p. 135, doi. 10.7251/ZREFIS1206135P
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2.3 BANKING SECTOR.
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- Economy of Uzbekistan, 2012, n. Q3, p. 29
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KÜRESEL FİNANSAL KRİZİN TÜRK BANKACILIK SEKTÖRÜNÜN VERİMLİLİĞİ ÜZERİNE ETKİLERİ.
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- World of Accounting Science, 2010, v. 12, n. 1, p. 73
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PORTFOLIO ALLOCATION IN THE FACE OF A MEANS-TESTED PUBLIC PENSION.
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- Review of Income & Wealth, 2011, v. 57, n. 3, p. 536, doi. 10.1111/j.1475-4991.2011.00437.x
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How Valuable is Credit Card Lending?
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- Journal of Derivatives, 2003, v. 11, n. 2, p. 39, doi. 10.3905/jod.2003.319214
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Assessing lending market concentration in Bulgaria: the application of a new measure of concentration.
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- European Journal of Comparative Economics, 2012, v. 9, n. 2, p. 79
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Assessing lending market concentration in Bulgaria: the application of a new measure of concentration.
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- European Journal of Comparative Economics, 2012, v. 9, n. 1, p. 79
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An Active or "Structured" Approach to Managing Energy Project Finance Loan Portfolios.
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- Journal of Structured Finance, 2004, v. 10, n. 2, p. 75, doi. 10.3905/jsf.2004.426076
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TRUE GRIT.
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- Journal of Property Management, 2011, v. 76, n. 4, p. 5
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In This Issue.
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- Operations Research, 2016, v. 64, n. 6, p. iii, doi. 10.1287/opre.2016.1568
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Large-Scale Loan Portfolio Selection.
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- Operations Research, 2016, v. 64, n. 6, p. 1239, doi. 10.1287/opre.2016.1537
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Modeling the Loss Distribution.
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- Management Science, 2011, v. 57, n. 7, p. 1267, doi. 10.1287/mnsc.1110.1345
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Loan Portfolio Management and Bank Efficiency: A Comparative Analysis of Public, Old Private, and New Private Sector Banks in India.
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- Economies, 2024, v. 12, n. 4, p. 81, doi. 10.3390/economies12040081
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RETAIL LOANS IN THE BANKING SYSTEMS OF SERBIA, CROATIA AND MACEDONIA WITH SPECIAL EMPHASIS OF RETAIL PORTFOLIO OF MACEDONIAN BANKS.
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- Economic Development / Ekonomiski Razvoj, 2015, v. 17, n. 3, p. 223
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The Education Lending Policy of the European Investment Bank.
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- European Journal of Education, 2009, v. 44, n. 1, p. 111, doi. 10.1111/j.1465-3435.2008.01374.x
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The impact of scale of operation on financial performance in microfinance.
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- Eurasian Economic Review, 2014, v. 4, n. 2, p. 177, doi. 10.1007/s40822-014-0011-4
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All Guts, No Glory: Trading and Diversification among Online Investors.
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- European Financial Management, 2007, v. 13, n. 3, p. 448, doi. 10.1111/j.1468-036X.2007.00368.x
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Loan Portfolio Swaps and Optimal Lending.
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- Review of Quantitative Finance & Accounting, 2005, v. 24, n. 2, p. 177, doi. 10.1007/s11156-005-6336-z
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Loan Market Competition and Bank Risk-Taking.
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- Journal of Financial Services Research, 2010, v. 37, n. 1, p. 71, doi. 10.1007/s10693-009-0073-8
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Impact of Loan Portfolio Diversification and Income Diversification on Interest Margin in ASEAN Banking Market.
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- Pertanika Journal of Social Sciences & Humanities, 2016, v. 24, p. 189
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