//-->
The global financial crisis and the role of official investors in the Gulf
Saïdi, Nasser A., (2009)
Risk governance and financial stability : a comparative study of conventional and Islamic banks in the GCC
Raouf, Hajar, (2022)
Bankcruptcy prediction model used in credit risk management
Rankov, Siniša, (2013)
Modeling coherent trading risk parameters under illiquid market perspective
Al Janabi, Mazin A. M., (2011)
Dynamic equity asset allocation with liquidity-adjusted market risk criterion : appraisal of efficient and coherent portfolios
A generalized theoretical modelling approach for the assessment of economic-capital under asset market liquidity risk constraints