Works matching DE "LOAN portfolio management"
Results: 98
A VUELTAS CON EL RETRACTO DE CRÉDITO LITIGIOSO EN VENTAS DE CARTERAS. A PROPÓSITO DE LA JURISPRUDENCIA MÁS RECIENTE DEL TRIBUNAL SUPREMO.
- Published in:
- Actualidad Jurídica (1578-956X), 2021, n. 56, p. 234
- By:
- Publication type:
- Article
Does sectoral loan portfolio composition matter for the monetary policy transmission?
- Published in:
- Economic Journal of Emerging Markets, 2022, v. 14, n. 1, p. 29, doi. 10.20885/ejem.vol14.iss1.art3
- By:
- Publication type:
- Article
The Exclusion of Afro-Guyanese Hucksters in Micro-Banking.
- Published in:
- 2014
- By:
- Publication type:
- Case Study
The Third Liberty Loan.
- Published in:
- Journal of Education, 1918, v. 87, n. 20, p. 534
- Publication type:
- Article
LIFE CYCLE THEORY AND FINANCIAL SUSTAINABILITY OF SELECTED SADC MICROFINANCE INSTITUTIONS (MFIs).
- Published in:
- Journal of Developing Areas, 2016, v. 50, p. 121, doi. 10.1353/jda.2016.0120
- By:
- Publication type:
- Article
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:
- Publication type:
- Article
THE ROLE OF MARKETING IN MICROCREDIT INSTITUTIONS.
- Published in:
- Review of Management & Economic Engineering, 2011, v. 10, n. 2, p. 23
- By:
- Publication type:
- Article
MEASURING THE EFFICIENCY OF SUB-SAHARAN AFRICA'S MICROFINANCE INSTITUTIONS AND ITS DRIVERS.
- Published in:
- Annals of Public & Cooperative Economics, 2013, v. 84, n. 4, p. 399, doi. 10.1111/apce.12021
- By:
- Publication type:
- Article
A New Proposal for Loan Modifications.
- Published in:
- Yale Journal on Regulation, 2009, v. 26, n. 2, p. 417
- By:
- Publication type:
- Article
THE OVERHEATING OF FIVE EU NEW MEMBER STATES AND CYCLICALITY OF SYSTEMIC RISK IN THE BANKING SECTOR.
- Published in:
- Journal of Business Economics & Management, 2009, v. 10, n. 3, p. 219, doi. 10.3846/1611-1699.2009.10.219-232
- By:
- Publication type:
- Article
FOREIGN CAPITAL AND CREDIT MARKET DEVELOPMENT: THE CASE OF LITHUANIA.
- Published in:
- Journal of Business Economics & Management, 2005, v. 6, n. 4, p. 219, doi. 10.3846/16111699.2005.9636111
- By:
- Publication type:
- Article
Modeling of Contagious Credit Events and Risk Analysis of Credit Portfolios.
- Published in:
- Asia-Pacific Financial Markets, 2012, v. 19, n. 1, p. 43, doi. 10.1007/s10690-011-9141-9
- By:
- Publication type:
- Article
Credit Risk Estimation for Small Businesses Based on a Statistical Method.
- Published in:
- Asia-Pacific Financial Markets, 2002, v. 9, n. 2, p. 101, doi. 10.1023/A:1022286001745
- By:
- Publication type:
- Article
Loan Portfolio Performance Evaluation by Using Stochastic Recovery Rate.
- Published in:
- Journal of Applied Research on Industrial Engineering, 2024, v. 11, n. 1, p. 116, doi. 10.22105/jarie.2023.346023.1478
- By:
- Publication type:
- Article
Evidence from the Bond Market on Banks' "Too-Big-to-Fail" Subsidy.
- Published in:
- Economic Policy Review (19320426), 2014, v. 20, n. 2, p. 1
- By:
- Publication type:
- Article
THE IMPORTANCE OF THE RETAIL CREDIT PORTFOLIO FOR ECONOMIC GROWTH OF MACEDONIA.
- Published in:
- Economy & Market Communication Review / Casopis za Ekonomiju i Trzisne Komunikacije, 2016, v. 6, n. 1, p. 18, doi. 10.7251/EMC16018J
- By:
- Publication type:
- Article
Borrowers' Financial Reporting and the Quality of Banks' Loan Portfolios.
- Published in:
- Accounting Review, 2021, v. 96, n. 2, p. 261, doi. 10.2308/TAR-2016-0298
- By:
- Publication type:
- Article
The Effect of Increased Audit Disclosure on Managers' Real Operating Decisions: Evidence from Disclosing Critical Audit Matters.
- Published in:
- Accounting Review, 2021, v. 96, n. 1, p. 23, doi. 10.2308/tar-2017-0486
- By:
- Publication type:
- Article
Banks' Financial Reporting Frequency and Asset Quality.
- Published in:
- Accounting Review, 2018, v. 93, n. 3, p. 1, doi. 10.2308/accr-51936
- By:
- Publication type:
- Article
Industry Characteristics, Risk Premiums, and Debt Pricing.
- Published in:
- Accounting Review, 2017, v. 92, n. 1, p. 1, doi. 10.2308/accr-51435
- By:
- Publication type:
- Article
2.3 BANKING SECTOR.
- Published in:
- Economy of Uzbekistan, 2012, n. Q3, p. 29
- Publication type:
- Article
All Guts, No Glory: Trading and Diversification among Online Investors.
- Published in:
- European Financial Management, 2007, v. 13, n. 3, p. 448, doi. 10.1111/j.1468-036X.2007.00368.x
- By:
- Publication type:
- Article
State Bank sets mandatory housing loan targets for banks.
- Published in:
- Housing Finance International, 2020, v. 35, n. 1, p. 12
- By:
- Publication type:
- Article
Mortgage Lending in Kazakhstan.
- Published in:
- Housing Finance International, 2004, v. 19, n. 2, p. 32
- By:
- Publication type:
- Article
How the Subprime Mortgage Industry Failure Caused Wall Street to Retreat With the Bears…..
- Published in:
- Proceedings of the Northeast Business & Economics Association, 2007, p. 154
- By:
- Publication type:
- Article
MEASURING THE EFFECTS OF CONCENTRATION AND RISK ON BANK RETURNS: EVIDENCE FROM A PANEL OF INDIVIDUAL LOAN PORTFOLIOS IN JAMAICA.
- Published in:
- Journal of Business, Finance & Economics in Emerging Economies, 2009, v. 4, n. 1, p. 73
- By:
- Publication type:
- Article
Cyclicality in losses on bank loans.
- Published in:
- Journal of Applied Econometrics, 2018, v. 33, n. 4, p. 533, doi. 10.1002/jae.2612
- By:
- Publication type:
- Article
Impact of Loan Portfolio Diversification and Income Diversification on Interest Margin in ASEAN Banking Market.
- Published in:
- Pertanika Journal of Social Sciences & Humanities, 2016, v. 24, p. 189
- By:
- Publication type:
- Article
IMPACT OF BRANCH BANKING ON BANK FIRM RISK VIA GEOGRAPHIC MARKET DIVERSIFICATION.
- Published in:
- Quarterly Journal of Business & Economics, 1988, v. 27, n. 2, p. 73
- By:
- Publication type:
- Article
The Education Lending Policy of the European Investment Bank.
- Published in:
- European Journal of Education, 2009, v. 44, n. 1, p. 111, doi. 10.1111/j.1465-3435.2008.01374.x
- By:
- Publication type:
- Article
Improving Loan Portfolio Optimization by Importance Sampling Techniques: Evidence on Italian Banking Books.
- Published in:
- Economic Notes, 2014, v. 43, n. 2, p. 167, doi. 10.1111/ecno.12019
- By:
- Publication type:
- Article
Ways to Increase the Efficiency of Lending Activity of Banks in Romania.
- Published in:
- Annals of the University Dunarea de Jos of Galati: Fascicle: I, Economics & Applied Informatics, 2016, v. 22, n. 3, p. 44
- By:
- Publication type:
- Article
LOAN-PORTFOLIO QUALITY AND MANAGERIAL EFFICIENCY IN BANKING.
- Published in:
- Annales Universitatis Apulensis - Series Oeconomica, 2015, v. 17, n. 2, p. 1
- By:
- Publication type:
- Article
BANKCRUPTCY PREDICTION MODEL USED IN CREDIT RISK MANAGEMENT.
- Published in:
- Megatrend Review / Megatrend Revija, 2013, v. 10, n. 4, p. 37
- By:
- Publication type:
- Article
A Comparison of the Performance of Commercial Banks: DEA Evidence for India.
- Published in:
- IUP Journal of Bank Management, 2013, v. 12, n. 2, p. 7
- By:
- Publication type:
- Article
BANK LOAN QUALITY ANALYSIS.
- Published in:
- Annals of DAAAM & Proceedings, 2011, p. 979
- By:
- Publication type:
- Article
KÜRESEL FİNANSAL KRİZİN TÜRK BANKACILIK SEKTÖRÜNÜN VERİMLİLİĞİ ÜZERİNE ETKİLERİ.
- Published in:
- World of Accounting Science, 2010, v. 12, n. 1, p. 73
- By:
- Publication type:
- Article
În pregătire, un nou model de provizionare a creditelor şi a altor active financiare.
- Published in:
- Audit Financiar, 2013, v. 11, n. 100, p. 87
- Publication type:
- Article
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:
- Publication type:
- Article
STATISTICAL MODELS FOR MONITORING THE LIKELIHOOD OF CREDIT PORTFOLIO IMPAIRMENT.
- Published in:
- Economic Computation & Economic Cybernetics Studies & Research, 2009, v. 43, n. 4, p. 5
- By:
- Publication type:
- Article
Multi-Period Structural Model of a Mortgage Portfolio with Cointegrated Factors.
- Published in:
- Finance a Uver: Czech Journal of Economics & Finance, 2016, v. 66, n. 6, p. 565
- By:
- Publication type:
- Article
Banking Competition, Risk and Regulation.
- Published in:
- Scandinavian Journal of Economics, 2004, v. 106, n. 4, p. 783, doi. 10.1111/j.0347-0520.2004.00388.x
- By:
- Publication type:
- Article
CONSIDERATION REGARDING THE LEGAL CAPACITY OF THE ASSIGNEES OF THE BANK CREDIT AGREEMENT.
- Published in:
- USV Annals of Economics & Public Administration, 2012, v. 12, n. 2, p. 170
- By:
- Publication type:
- Article
Norwegian Petroleum Wealth and Universal Ownership.
- Published in:
- Corporate Governance: An International Review, 2007, v. 15, n. 3, p. 427, doi. 10.1111/j.1467-8683.2007.00576.x
- By:
- Publication type:
- Article
Loan origination decisions using a multinomial scorecard.
- Published in:
- Annals of Operations Research, 2016, v. 243, n. 1/2, p. 199, doi. 10.1007/s10479-015-1799-3
- By:
- Publication type:
- Article
Towards an investigation of credit risk determinants in Eurozone countries.
- Published in:
- Journal of Accounting & Management Information Systems / Contabilitate si Informatica de Gestiune, 2016, v. 15, n. 1, p. 27
- By:
- Publication type:
- Article
AN EMPIRICAL ANALYSIS ON BOARD MONITORING ROLE AND LOAN PORTFOLIO QUALITY IN BANKS.
- Published in:
- Academy of Banking Studies Journal, 2012, v. 11, n. 2, p. 47
- By:
- Publication type:
- Article
PORTFOLIO ALLOCATION IN THE FACE OF A MEANS-TESTED PUBLIC PENSION.
- Published in:
- Review of Income & Wealth, 2011, v. 57, n. 3, p. 536, doi. 10.1111/j.1475-4991.2011.00437.x
- By:
- Publication type:
- Article
TRUE GRIT.
- Published in:
- Journal of Property Management, 2011, v. 76, n. 4, p. 5
- By:
- Publication type:
- Article
Methodical approaches to assessment of quality of the bank loan portfolio.
- Published in:
- Problems of Economy, 2014, n. 1, p. 278
- By:
- Publication type:
- Article