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  • Search: subject:"Credit risk management"
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Year of publication
Subject
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credit risk management 187 Credit risk 125 Risk management 117 banking system 111 banking 110 Kreditrisiko 107 capital adequacy 102 Risikomanagement 97 banking supervision 95 banking sector 80 foreign exchange 78 Bank supervision 74 Credit risk management 74 consolidated supervision 72 internal control 68 deposit insurance 63 capital adequacy ratio 62 internal audit 56 bank management 54 capital base 52 return on assets 51 prudential regulation 49 return on equity 49 Bank lending 48 Kreditgeschäft 48 capital requirement 48 bank assets 47 connected lending 47 loan classification 47 bankers 46 banking activities 46 bank loans 45 bank credit 43 bank deposits 43 banking law 42 external auditor 42 Reports on the Observance of Standards and Codes 41 banking supervisors 41 tier 1 capital 41 banking license 40
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Online availability
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Free 229 Undetermined 58 CC license 4
Type of publication
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Book / Working Paper 197 Article 109
Type of publication (narrower categories)
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Article in journal 71 Aufsatz in Zeitschrift 71 Working Paper 45 Graue Literatur 23 Non-commercial literature 23 Arbeitspapier 21 Article 7 Aufsatz im Buch 3 Book section 3 research-article 3 Aufsatzsammlung 2 Conference paper 2 Konferenzbeitrag 2 Ratgeber 2 Thesis 2
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Language
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English 161 Undetermined 142 German 1 Lithuanian 1 Spanish 1
Author
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Rudolph, Bernd 6 Weber, Martin 5 Chen, David 4 Dumrose, Maurice 4 Klein, Christian 4 Koopman, Siem Jan 4 Muller, Philippe 4 Schroth, Josef 4 Schwaab, Bernd 4 Bauckloh, Michael Tobias 3 Burghof, Hans-Peter 3 Henke, Sabine 3 Höck, André 3 Kern, Markus 3 Krahnen, Jan Pieter 3 Lucas, Andre 3 Masood, Omar 3 Akram, Hassan 2 Al Suwaidi, Hasan 2 Alrabiah, Abdulrahman 2 Bezawada Brahmaiah, Ranajee 2 Bourque, Jérôme 2 Brunner, Antje 2 Cheng, Yuteng 2 Deng, Adire Simon 2 Ernst, Dietmar 2 Esiemogie, Idode Patrick 2 Exler, Florian 2 Friedrich, Christian 2 Hosseini, Hossein 2 Isaiah, Ogungbade Oluyinka 2 Jang, Youngsoo 2 Johnston, Craig 2 Johnston, Wesley J. 2 Karibzhanov, Iskander 2 Kariuki, Samuel Nduati 2 Kiptoo, Isaac Kibet 2 Kritzinger, Nico 2 Larcher, Gerhard 2 Lee, Soyoung 2
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Institution
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International Monetary Fund (IMF) 128 International Monetary Fund 109 Center for Financial Studies 4 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 2 Deutsche Bank Research 1 Financial Institutions Center, Wharton School of Business 1 Graduate School of Economics, Kyoto University 1 Inter-American Development Bank 1 Mykolas Romeris University 1 Tinbergen Institute 1 Tinbergen Instituut 1 ToKnowPress 1 Wirtschaftswissenschaftliche Fakultät, Universität Regensburg 1
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Published in...
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IMF Staff Country Reports 105 IMF Working Papers 23 Bank of Canada Staff Working Paper 11 Staff working paper / Bank of Canada 11 The journal of structured finance 8 Bank of Canada Staff Discussion Paper 5 Staff discussion paper 5 CFS Working Paper 4 CFS Working Paper Series 4 International journal of economics and financial issues : IJEFI 4 Springer Texts in Business and Economics 4 CFS working paper series 3 International journal of economics and finance 3 The journal of fixed income : JFI 3 Бизнес Информ 3 Business Inform 2 Computational economics 2 Equilibrium 2 Inventi impact: microfinance & banking 2 Journal of Financial Reporting and Accounting 2 MPRA Paper 2 Qualitative Research in Financial Markets 2 The journal of credit risk : published quarterly by Incisive Media 2 Theoretical and Applied Economics 2 Tinbergen Institute Discussion Papers 2 Acta Universitatis Danubius. OEconomica 1 Active Citizenship by Knowledge Management & Innovation: Proceedings of the Management, Knowledge and Learning International Conference 2013 1 Applied economics 1 Bank of Japan working paper series 1 Business management review : journal of the University of Dar es Salaam Business School 1 Business strategy and the environment 1 CFR Working Paper 1 Center for Financial Institutions Working Papers 1 China economic review : an international journal 1 Cogent Business & Management 1 Cogent Economics & Finance 1 Cogent business & management 1 Cogent economics & finance 1 Contributions to Finance and Accounting 1 Crises and Uncertainty in the Economy 1
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Source
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RePEc 166 ECONIS (ZBW) 104 EconStor 31 Other ZBW resources 3 BASE 2
Showing 1 - 10 of 306
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Firm default prediction by GNN with gravity-model informed neighbor node sampling
Minakawa, Naoto; Izumi, Kiyoshi; Murayama, Yuri; … - In: The review of socionetwork strategies 18 (2024) 2, pp. 303-328
Persistent link: https://www.econbiz.de/10015194246
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Partial hedging in credit markets with structured derivatives : a quantitative approach using put options
Siggelkow, Constantin - In: Journal of derivatives and quantitative studies : … 32 (2024) 4, pp. 286-322
This study develops a novel method for mitigating credit risk through the use of structured derivatives, focusing in particular on the use of European put options as a strategic hedging tool. Inspired by the work of Merton (1974), our approach introduces the concept of default triggered by the...
Persistent link: https://www.econbiz.de/10015173788
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Leveraging prices from credit and equity option markets for portfolio risk management
Bégin, Jean-François; Boudreault, Mathieu; … - In: The journal of futures markets 44 (2024) 1, pp. 122-147
Persistent link: https://www.econbiz.de/10014475433
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Diversification, capital buffer, ownership and credit risk management in microfinance : an investigation on Indonesian rural banks
Ariefianto, Mochammad Doddy; Trinugroho, Irwan; … - In: Research in international business and finance 69 (2024), pp. 1-16
Persistent link: https://www.econbiz.de/10015052809
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ESG criteria and the credit risk of corporate bond portfolios
Höck, André; Bauckloh, Michael Tobias; Dumrose, Maurice; … - 2023
Demand for sustainable fixed-income investment solutions is surging but there is hardly research on the impact of sustainability on the risk characteristics of fixed-income portfolios. This study examines the impact of sustainability on the credit risk exposure of U.S. corporate bond portfolios...
Persistent link: https://www.econbiz.de/10014326339
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An Empirical Analysis of European Credit Default Swap Spread Dynamics
Specht, Leon - In: Junior Management Science (JUMS) 8 (2023) 1, pp. 1-42
I analyze the dynamics of European credit default swap spreads by estimating CDS spreads via an extension of the structural credit risk models by Black and Cox (1976) as well as Leland (1994), the so called CreditGrades model proposed by Finger et al. (2002). Using two different procedures in...
Persistent link: https://www.econbiz.de/10014528903
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Climate-related flood risk to residential lending portfolios in Canada
Johnston, Craig; Vallée, Geneviève; Hosseini, Hossein; … - 2023
We assess the potential financial risks of current and projected flooding caused by extreme weather events in Canada. We focus on the residential real estate secured lending (RESL) portfolios of Canadian financial institutions (FIs) because RESL portfolios are an important component of FIs'...
Persistent link: https://www.econbiz.de/10014541735
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Procyclicality in central counterparty margin models: A conceptual tool kit and the key parameters
Odabasioglu, Alper - 2023
Central counterparty (CCP) initial margin models are procyclical by nature, and CCPs use antiprocyclicality (APC) tools to mitigate this. However, despite the widespread use of such tools, margin models of CCPs around the world reacted severely to the heightened volatility during the March 2020...
Persistent link: https://www.econbiz.de/10014541739
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Mandatory retention rules and bank risk
Cheng, Yuteng - 2023
This paper studies, theoretically and empirically, the unintended consequences of mandatory retention rules in securitization. The Dodd-Frank Act and the EU Securitisation Regulation both impose a 5% mandatory retention requirement to motivate screening and monitoring. I first propose a novel...
Persistent link: https://www.econbiz.de/10014544533
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Should banks be worried about dividend restrictions?
Schroth, Josef - 2023
Countercyclical bank capital requirements have emerged as a popular regulatory tool to help smooth financial cycles. The idea is to reduce capital requirements when exogenous shocks cause aggregate bank capital to decrease so that regulation does not needlessly constrain banks' supply of credit....
Persistent link: https://www.econbiz.de/10014544604
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