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  • Search: subject:"Distance to default"
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Year of publication
Subject
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Credit risk 64 Kreditrisiko 59 Distance to default 47 Insolvenz 41 Insolvency 40 distance to default 33 Bank risk 32 Distance-to-default 32 Bankrisiko 31 distance-to-default 27 Theorie 24 Theory 24 Bank 23 Financial crisis 20 Bankenkrise 17 Banking crisis 16 Default risk 16 Finanzkrise 16 Welt 15 World 15 credit risk 14 Merton model 13 Systemic risk 13 EU-Staaten 12 Forecasting model 11 Prognoseverfahren 11 Börsenkurs 10 EU countries 10 Option pricing theory 10 Optionspreistheorie 10 Risiko 10 Risikomanagement 10 Risk 10 Risk management 10 Schätzung 10 Basel Accord 9 Basler Akkord 9 Distance to Default 9 Estimation 9 Eurozone 9
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Online availability
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Undetermined 68 Free 67 CC license 3
Type of publication
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Article 116 Book / Working Paper 53 Other 1
Type of publication (narrower categories)
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Article in journal 88 Aufsatz in Zeitschrift 88 Working Paper 23 Arbeitspapier 11 Graue Literatur 10 Non-commercial literature 10 Article 6 research-article 5 Congress Report 1
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Language
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English 134 Undetermined 36
Author
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McAleer, Michael 9 Singh, Manish K. 8 Sosvilla-Rivero, Simón 7 Anginer, Deniz 6 Powell, R. J. 6 Powell, Robert 6 Blundell-Wignall, Adrian 5 Kick, Andreas 5 Rottmann, Horst 5 Roulet, Caroline 5 Schmielewski, Frank 5 Allen, David 4 Choudhury, Tonmoy 4 Gómez-Puig, Marta 4 Allen, David E 3 Allen, David E. 3 Bottazzi, Giulio 3 Chen, Wei-ling 3 Demirgüç-Kunt, Asli 3 Duc Hong Vo 3 Grazzi, Marco 3 Gómez Puig, Marta 3 Kabir, Md. Nurul 3 Lando, David 3 Lo Duca, Marco 3 Samaniego-Medina, Reyes 3 Secchi, Angelo 3 Singh, Abhay Kumar 3 So, Leh-chyan 3 Sobański, Karol 3 Tamagni, Federico 3 Trujillo-Ponce, Antonio 3 Vesala, Jukka 3 Wein, Thomas 3 Agrawal, Khushbu 2 Andriosopoulos, Dimitris 2 Andriosopoulos, Kostas 2 Boffey, R.R 2 Brasili, Andrea 2 Calice, Giovanni 2
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Institution
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School of Business, Edith Cowan University 3 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 3 Asociación Española de Economía y Finanzas Internacionales - AEEFI 2 EconWPA 2 Facultat d'Economia i Empresa, Universitat de Barcelona 2 BANCO DE LA REPÚBLICA 1 Banca d'Italia 1 Banco de la Republica de Colombia 1 Centre Emile Bernheim, Solvay Brussels School of Economics and Management 1 Departamento de Dirección de Empresas, Universidad Pablo de Olavide 1 Departamento de Economía Financiera y Contabilidad, Universidad Pablo de Olavide 1 Department of Economics and Finance, College of Business and Economics 1 European Central Bank 1 Facultad de Ciencias Económicas y Empresariales, Universidad Complutense de Madrid 1 Faculteit der Economische Wetenschappen, Erasmus Universiteit Rotterdam 1 Groupement de Recherches Économiques et Sociales (GRES) 1 HAL 1 Indira Gandhi Institute of Development Research (IGIDR) 1 Institut für Weltwirtschaft (IfW) 1 Laboratory of Economics and Management (LEM), Scuola Superiore Sant'Anna 1 Tinbergen Instituut 1
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Published in...
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Economic modelling 4 Journal of Risk and Financial Management 4 Journal of financial stability 4 Working Paper Series in Economics 4 Applied economics letters 3 Finance research letters 3 Financial market trends 3 International journal of finance & economics : IJFE 3 International review of economics & finance : IREF 3 Journal of Banking & Finance 3 Journal of Financial Regulation and Compliance 3 Journal of banking & finance 3 Journal of international financial markets, institutions & money 3 Journal of risk and financial management : JRFM 3 MPRA Paper 3 Working papers / School of Business, Edith Cowan University 3 Economic systems 2 Economics Letters 2 Economics letters 2 Finance 2 IMF working papers 2 IREA Working Papers 2 Journal of financial intermediation 2 Journal of financial regulation and compliance : an international journal 2 Journal of international money and finance 2 Research in international business and finance 2 Review of financial economics : RFE 2 Weidener Diskussionspapiere 2 Working Papers / Asociación Española de Economía y Finanzas Internacionales - AEEFI 2 Accounting and finance : journal of the Accounting Association of Australia and New Zealand 1 Afro-Asian Journal of Finance and Accounting : AAJFA 1 Annals of Financial Economics (AFE) 1 Annals of financial economics 1 Applied economics 1 Applied mathematical finance 1 BORRADORES DE ECONOMIA 1 Borradores de Economia 1 CEB working paper / Université Libre de Bruxelles, Solvay Brussels School of Economics and Management, Centre Emile Bernheim 1 CESifo Working Paper 1 CESifo working papers 1
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Source
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ECONIS (ZBW) 99 RePEc 46 EconStor 18 Other ZBW resources 5 BASE 2
Showing 11 - 20 of 170
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The relevance of banks to the European stock market
Kick, Andreas; Rottmann, Horst - 2022
Banks have always played an ambivalent role in financial markets. On the one hand, they provide essential services for the market; on the other hand, problems in the banking sector can send shock waves through the entire economy. Given this prominent role, it is not surprising that Pereira and...
Persistent link: https://www.econbiz.de/10013206215
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Estimating volatility in the Merton model : the KMV estimate is not maximum likelihood
Christoffersen, Benjamin; Lando, David; Nielsen, Søren … - In: Mathematical finance : an international journal of … 32 (2022) 4, pp. 1214-1230
Persistent link: https://www.econbiz.de/10013463403
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Does corporate social sustainability influence on business environment? : impact of corporate governance on distance to default of Sukuk issuers in Islamic banks
Li, Xintong; Ur Rehman, Awais; Toma, Smaranda; Jaradat, … - In: International review of economics & finance : IREF 93 (2024) 1, pp. 520-528
Persistent link: https://www.econbiz.de/10014535371
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Merton-type default risk and financial performance : the dynamic panel moderation of firm size
Mushafiq, Muhammad; Sami, Syed Ahmad; Sohail, Muhammad … - In: Journal of economic and administrative sciences 40 (2024) 2, pp. 168-181
Persistent link: https://www.econbiz.de/10014632161
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Can market information outperform hard and soft information in predicting corporate defaults?
Filomeni, Stefano; Bose, Udichibarna; Megaritis, Anastasios - In: International journal of finance & economics : IJFE 29 (2024) 3, pp. 3567-3592
Persistent link: https://www.econbiz.de/10014635396
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Estimation of default risk through Merton's distance to default model : an empirical study of four Indian Public Sector banks
Bendigeri, Raghavendra S. - In: International journal of business and globalisation : IJBG 37 (2024) 4, pp. 535-554
Persistent link: https://www.econbiz.de/10015063989
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Understanding corporate default using Random Forest : the role of accounting and market information
Bitetto, Alessandro; Filomeni, Stefano; Modina, Michele - 2021
Persistent link: https://www.econbiz.de/10012887215
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Scenario analysis with the DD-PD mapping approach : stock market shocks and U.S. corporate default risk
Chan-Lau, Jorge A. - 2021
This paper introduces the quantile regression- based Distance-to-Default to Probability of Default (DD-PD) mapping …
Persistent link: https://www.econbiz.de/10012613371
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The COVID-19 impact on corporate leverage and financial fragility
Haque, Sharjil Muktafi; Varghese, Richard - 2021
We study the impact of the COVID-19 recession on capital structure of publicly listed U.S. firms. Our estimates suggest leverage (Net Debt/Asset) decreased by 5.3 percentage points from the pre-shock mean of 19.6 percent, while debt maturity increased moderately. This de-leveraging effect is...
Persistent link: https://www.econbiz.de/10012796218
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Can banks sustain the growth in renewable energy supply? : an international evidence
Choudhury, Tonmoy; Kamran, Muhammad; Djajadikerta, … - In: The European journal of development research 35 (2023) 1, pp. 20-50
Persistent link: https://www.econbiz.de/10013491057
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