Risks - Open Access Journal, MDPI

ISSN: 2227-9091

Collection's Items (Sorted by Title in Descending order): 201 to 220 of 776
Year of PublicationTitleAuthor(s)
2021An analysis of bank financial strength ratings and credit rating dataRuddy, John A.
2021The impact of the crisis triggered by the COVID-19 pandemic and the actions of regulators on the consumer finance market in Poland and other European Union countriesGębski, Łukasz
2021Decentralized enterprise risk management issues under rapidly changing environmentsBakos, Levente; Dumitrașcu, Dănuț Dumitru
2021mSHAP: SHAP Values for Two-Part ModelsMatthews, Spencer; Hartman, Brian
2021A new model averaging approach in predicting credit risk defaultJha, Paritosh Navinchandra; Cucculelli, Marco
2021Dataset modelling of the financial risk management of social entrepreneurship in emerging economiesPopkova, Elena G.; Sergi, Bruno S.
2021Bayesian mixture modelling for mortality projectionLi, Jackie; Kogure, Atsuyuki
2021The empirical analysis of the core competencies of the company's resource management risk: Preliminary studyDrozdowski, Grzegorz; Rogozińska-Mitrut, Joanna; Stasiak, Jacek
2021Quantum support vector regression for disability insuranceDjehiche, Boualem; Löfdahl, Björn
2021Forecasting in small business managementWiśniewski, Jerzy W.
2021Risk mutualization in central clearing: An answer to the cross-guarantee phenomenon from the financial stability viewpointFriesz, Melinda; Muratov-Szabó, Kira; Prepuk, Andrea; Váradi, Kata
2021The accuracy of risk measurement models on bitcoin market during COVID-19 pandemicLikitratchoaroen, Danai; Kronprasert, Nopadon; Wiwattanalamphong, Karawan; Pinmanee, Chakrin
2021Developing a risk model for assessment and control of the spread of COVID-19Issa, Usama H.; Balabel, Ashraf; Abdelhakeem, Mohammed; Osman, Medhat M. A.
2021Scoring models and credit risk: The case of cooperative banks in PolandKil, Krzysztof; Ciukaj, Radoslaw; Chrzanowska, Justyna
2021Bitcoin as an investment and hedge alternative: A DCC MGARCH model analysisRudolf, Karl Oton; Ajour El Zein, Samer; Jackman Lansdowne, Nicola
2021Global stock selection with hidden Markov modelNguyen, Nguyet; Nguyen, Dung
2021Effect of structural funds on housing market sustainability development - correlation, regression and wavelet coherence analysisMach, Łukasz; Bedrunka, Karina; Kuczuk, Anna; Szewczuk-Stępień, Marzena
2021Systemic Illiquidity Noise-based measure: A solution for systemic liquidity monitoring in frontier and emerging marketsDziwok, Ewa; Kara's, Marta A.
2021Risk management and financial stability in the Polish public hospitals: The moderating effect of the stakeholders' engagement in the decision-makingFra̢czkiewicz-Wronka, Aldona; Ingram, Tomasz; Szymaniec-Mlicka, Karolina; Tworek, Piotr
2021What best predicts corporate bank loan defaults? An analysis of three different variable domainsKohv, Keijo; Lukason, Oliver
Collection's Items (Sorted by Title in Descending order): 201 to 220 of 776
Browse