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Year of publication
Subject
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Credit rating 11 Credit risk 11 Kreditrisiko 11 Kreditwürdigkeit 11 Theorie 7 Theory 7 Welt 6 World 6 Bank risk 5 Bankrisiko 5 Bank 4 Portfolio selection 4 Portfolio-Management 4 Rating agency 4 Ratingagentur 4 Risikomanagement 4 Risk management 4 Bank lending 3 EU countries 3 EU-Staaten 3 Kreditgeschäft 3 Regulation 3 Regulierung 3 Bankenkrise 2 Banking crisis 2 China 2 Derivat 2 Derivative 2 Euro area 2 Eurozone 2 Financial crisis 2 Finanzkrise 2 Stress test 2 Stresstest 2 Systemic risk 2 Systemrisiko 2 Yield curve 2 Zinsstruktur 2 Actuarial mathematics 1 Agency theory 1
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Undetermined 5
Type of publication
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Article 41
Type of publication (narrower categories)
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Article in journal 41 Aufsatz in Zeitschrift 41
Language
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English 41
Author
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Duan, Jin-Chuan 3 Leung, Som-lok 3 Banks, Marcia 2 Wang, Tao 2 Alix, Michael 1 Auria, Laura 1 Bai, Jenny 1 Baklouti, Ibtissem 1 Banks, Marcia A. 1 Bingmer, Markus 1 Bohn, Jeffrey R. 1 Bouri, Abdelfettah 1 Bu, Di 1 Chan-Lau, Jorge A. 1 Cho, Thomas 1 Cousin, Violaine 1 Crippa, Davide 1 D'Cruz, Noel 1 Hsiao, Kuo-Wei 1 Jiang, Zhengyi 1 Jondeau, Eric 1 Kanno, Masayasu 1 Keppo, Jussi 1 Khaykin, Ilya 1 Kiernan, Rob 1 Kuo, Cheng-kun 1 Lee, Chih-Wei 1 Liao, Yin 1 Mamatzakis, Emmanuel C. 1 McGee, Andy 1 Miao, Weimin 1 Mogul, Zubin 1 Papin, Timothee 1 Plaut, Steven E. 1 Poon, Ser-Huang 1 Randhawa, Dipinder S. 1 Remoundos, Panos 1 Rockinger, Michael 1 Rowe, David M. 1 Saary-Littman, Juliane 1
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Institution
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Risk Management Institute 4
Published in...
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Global credit review 41
Source
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ECONIS (ZBW) 41
Showing 1 - 10 of 41
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Default econometrics and default application
Xuyuan, Liu; Miao, Weimin - In: Global credit review 6 (2016), pp. 1-9
Persistent link: https://www.econbiz.de/10011675399
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International association of credit portfolio managers principles and practices 2015 : expanding role of credit portfolio management
Leung, Som-lok; Banks, Marcia; Saary-Littman, Juliane - In: Global credit review 6 (2016), pp. 11-20
Persistent link: https://www.econbiz.de/10011675402
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Time-varying rating standards and the distorted incentives of credit rating agencies
Wang, Tao - In: Global credit review 6 (2016), pp. 21-39
Persistent link: https://www.econbiz.de/10011675411
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The small and medium enterprises and the credit reporting system in China
Bu, Di; Liao, Yin - In: Global credit review 6 (2016), pp. 41-48
Persistent link: https://www.econbiz.de/10011675413
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NUS-RMI credit research initiative technical report version : 2016 update 1
Risk Management Institute - In: Global credit review 6 (2016), pp. 49-132
Persistent link: https://www.econbiz.de/10011675425
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Structural market-based top-down stress tests of the banking system
Chan-Lau, Jorge A. - In: Global credit review 5 (2015), pp. 35-48
Persistent link: https://www.econbiz.de/10011403840
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Examining the validity of credit ratings assigned to credit derivatives
Lee, Chih-Wei; Kuo, Cheng-kun - In: Global credit review 5 (2015), pp. 49-58
Persistent link: https://www.econbiz.de/10011403842
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The pre- and post-crisis stress testing in the banking sector : a literature review
Hsiao, Kuo-Wei; Jiang, Zhengyi - In: Global credit review 5 (2015), pp. 77-97
Persistent link: https://www.econbiz.de/10011403847
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Eurozone debt crisis and regulation of credit rating agencies
Zaidi, Deena - In: Global credit review 5 (2015), pp. 99-111
Persistent link: https://www.econbiz.de/10011403849
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Risk appetite frameworks : insights into evolving global practices
Alix, Michael; Venkat, Shyam; Mogul, Zubin; Leung, Som-lok - In: Global credit review 5 (2015), pp. 1-17
Persistent link: https://www.econbiz.de/10011403824
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