Works matching DE "LOAN portfolio management"


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    Loan Portfolio Swaps and Optimal Lending.

    Published in:
    Review of Quantitative Finance & Accounting, 2005, v. 24, n. 2, p. 177, doi. 10.1007/s11156-005-6336-z
    By:
    • Lin, Jyh-Horng;
    • Yi, Min-Li
    Publication type:
    Article
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    Modelling take-up and profitability.

    Published in:
    Journal of the Operational Research Society, 2010, v. 61, n. 3, p. 430, doi. 10.1057/jors.2009.33
    By:
    • Ma, P.;
    • Crook, J.;
    • Ansell, J.
    Publication type:
    Article
    23

    Modeling the Loss Distribution.

    Published in:
    Management Science, 2011, v. 57, n. 7, p. 1267, doi. 10.1287/mnsc.1110.1345
    By:
    • Chava, Sudheer;
    • Stefanescu, Catalina;
    • Turnbull, Stuart
    Publication type:
    Article
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    MEASUREMENT OF LOAN PORTFOLIO RISK.

    Published in:
    Economics: Innovative & Economic Research Journal / Casopis za Ekonomsku Teoriju i Analizu, 2013, v. 2, n. 1, p. 63, doi. 10.7251/OIK1301006S
    By:
    • Subotić, Slobodan
    Publication type:
    Article
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    Residential Mortgage Credit Derivatives.

    Published in:
    Real Estate Economics, 2011, v. 39, n. 4, p. 671, doi. 10.1111/j.1540-6229.2011.00309.x
    By:
    • Duarte, Jefferson;
    • McManus, Douglas A.
    Publication type:
    Article
    44

    In This Issue.

    Published in:
    Operations Research, 2016, v. 64, n. 6, p. iii, doi. 10.1287/opre.2016.1568
    Publication type:
    Article
    45

    Large-Scale Loan Portfolio Selection.

    Published in:
    Operations Research, 2016, v. 64, n. 6, p. 1239, doi. 10.1287/opre.2016.1537
    By:
    • Sirignano, Justin A.;
    • Tsoukalas, Gerry;
    • Giesecke, Kay
    Publication type:
    Article
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    METHODS OF PERFORMANCE ANALYSIS IN BANKS.

    Published in:
    Annals of the University of Oradea, Economic Science Series, 2016, v. 25, n. 1, p. 601
    By:
    • Bătrâncea, Ioan;
    • Găban, Lucian;
    • Rus, Ionuț;
    • Minteuan, Paul
    Publication type:
    Article