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Assessment of a portfolio as an effective tool to promote self-management among patients with ischemic heart diseases: A preliminary trial
(Articles)
Haruka Otsu
,
Michiko Moriyama
,
Yuasa Yuka
,
Toyonori Omori
Health
Vol.6 No.5
, February 24, 2014
DOI:
10.4236/health.2014.65053
4,680
Downloads
6,669
Views
Citations
Alternative Alphas from Hedge Fund ETF Speculation
(Articles)
Peter C. L. Lin
Journal of Mathematical Finance
Vol.6 No.1
, February 17, 2016
DOI:
10.4236/jmf.2016.61004
4,851
Downloads
6,342
Views
Citations
Inflation and Portfolio Management
(Articles)
Di Ma
Open Journal of Social Sciences
Vol.11 No.3
, March 29, 2023
DOI:
10.4236/jss.2023.113022
252
Downloads
1,285
Views
Citations
Performance of Quantitative Investment Strategies in Different Market Cycles: A Comparative Analysis
(Articles)
Jiaxu Li
Open Journal of Social Sciences
Vol.12 No.12
, December 27, 2024
DOI:
10.4236/jss.2024.1212033
160
Downloads
1,814
Views
Citations
Triangular Financial Service: Innovation in Credit Granting
(Articles)
Adlane Haffar
,
Éric Le Fur
,
Jean-Michel Sahut
Theoretical Economics Letters
Vol.14 No.3
, June 26, 2024
DOI:
10.4236/tel.2024.143055
184
Downloads
707
Views
Citations
Explainable Credit Intelligence: A Unified SHAP-Based Framework for Interpretable Risk Scoring across Corporate and Retail Lending Domains
(Articles)
Omoshola Owolabi
Journal of Data Analysis and Information Processing
Vol.13 No.4
, November 13, 2025
DOI:
10.4236/jdaip.2025.134030
81
Downloads
542
Views
Citations
Credit Risk and Macroeconomic Interactions: Empirical Evidence from the Brazilian Banking System
(Articles)
Gustavo José de Guimarães e Souza
,
Carmem Aparecida Feijó
Modern Economy
Vol.2 No.5
, November 25, 2011
DOI:
10.4236/me.2011.25102
8,429
Downloads
13,738
Views
Citations
Fuzzy-Neuro Model for Intelligent Credit Risk Management
(Articles)
Elmer P. Dadios
,
James Solis
Intelligent Information Management
Vol.4 No.5A
, October 30, 2012
DOI:
10.4236/iim.2012.425036
7,288
Downloads
11,789
Views
Citations
This article belongs to the Special Issue on
Information System and Management
Analysis of the Problems and Countermeasures of China’s Green Credit
(Articles)
Xiaojie Wu
,
Xuehua Zhang
Journal of Geoscience and Environment Protection
Vol.6 No.6
, June 27, 2018
DOI:
10.4236/gep.2018.66009
1,764
Downloads
3,943
Views
Citations
The Impact of Credit Risk Management in Financial Market Indicators—Analytical Study in the Iraqi Market for Securities
(Articles)
Mahdi Attia Jubouri
Journal of Financial Risk Management
Vol.7 No.3
, September 27, 2018
DOI:
10.4236/jfrm.2018.73017
2,778
Downloads
7,626
Views
Citations
Relational Analysis of Talents’ Turnover and Management Factors in Bank’s Credit Card Center: An Empirical Analysis Based on Six Banks in Guangzhou
(Articles)
Lian Duan
,
Ling Yan
Journal of Financial Risk Management
Vol.7 No.3
, September 29, 2018
DOI:
10.4236/jfrm.2018.73019
1,268
Downloads
2,974
Views
Citations
Why Non-Performing Assets Are More in Public Sector Banks in India?
(Articles)
Bezawada Brahmaiah
Theoretical Economics Letters
Vol.9 No.1
, January 29, 2019
DOI:
10.4236/tel.2019.91007
2,100
Downloads
16,925
Views
Citations
Credit Risk Management and the Performance of Financial Institutions in South Sudan
(Articles)
Adire Simon Deng
,
Lucy Rono
,
Jane Sang
Modern Economy
Vol.11 No.11
, November 26, 2020
DOI:
10.4236/me.2020.1111128
1,298
Downloads
5,400
Views
Citations
Risk Management Impact on Non-Performing Loans and Profitability in the Namibian Banking Sector
(Articles)
Bernardus Franco Maseke
,
Eswual M. Swartz
Open Access Library Journal
Vol.8 No.6
, June 10, 2021
DOI:
10.4236/oalib.1106943
763
Downloads
5,820
Views
Citations
Analysis of Credit Risk Management Practices in Commercial Banks in DR Congo “Case of RAWBANK SA”
(Articles)
Ngiay Matsanga Stephie
,
Dai Hong
Open Access Library Journal
Vol.10 No.10
, October 26, 2023
DOI:
10.4236/oalib.1110796
175
Downloads
1,977
Views
Citations
Analysing and Optimising Bank Real Estate Portfolio by Using Impulse Response Function, Mahalanobis Distance and Financial Turbulence
(Articles)
Ognjen Vukovic
Open Journal of Business and Management
Vol.3 No.3
, July 28, 2015
DOI:
10.4236/ojbm.2015.33032
2,758
Downloads
4,102
Views
Citations
Product Portfolio Management—Governance for Commercial and Technical Portfolios over Life Cycle
(Articles)
Arto Tolonen
,
Janne Harkonen
,
Harri Haapasalo
Technology and Investment
Vol.5 No.4
, November 10, 2014
DOI:
10.4236/ti.2014.54016
9,971
Downloads
13,284
Views
Citations
A General Framework of Optimal Investment
(Articles)
Liangliang Zhang
Journal of Mathematical Finance
Vol.9 No.3
, August 27, 2019
DOI:
10.4236/jmf.2019.93028
1,260
Downloads
3,252
Views
Citations
Portfolio Management Problem with Stochastic Wage Income and Inflation-Adjusted Wealth
(Articles)
Stanley Jere
,
George Mukupa
,
Edwin Moyo
Journal of Mathematical Finance
Vol.13 No.2
, May 23, 2023
DOI:
10.4236/jmf.2023.132010
252
Downloads
1,061
Views
Citations
Country-Level Indicators and Foreign Exchange Returns
(Articles)
Hongwei Zhai
Modern Economy
Vol.14 No.11
, November 22, 2023
DOI:
10.4236/me.2023.1411079
185
Downloads
911
Views
Citations
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