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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
Systemic Risk and Financial Stability: The Role of Fintech in Emerging Markets
(Articles)
Fanta Bamia
,
Anseguerema Bamia
Open Journal of Business and Management
Vol.13 No.2
, March 17, 2025
DOI:
10.4236/ojbm.2025.132062
1,083
Downloads
2,521
Views
Citations
Financial Risk Management in Dutch SMEs: An Empirical Analysis
(Articles)
René-Pascal van den Boom
Journal of Financial Risk Management
Vol.8 No.2
, June 5, 2019
DOI:
10.4236/jfrm.2019.82005
3,560
Downloads
10,537
Views
Citations
Correlation Risk in the Context of Market Turbulences during the COVID-19 Pandemic and BCBS Stress Testing Principles
(Articles)
Fidelio Tata
Journal of Mathematical Finance
Vol.10 No.4
, November 4, 2020
DOI:
10.4236/jmf.2020.104036
658
Downloads
2,806
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
544
Views
Citations
Feasibility Analysis of Applying Financial Risk Management Methods to Tourism Risk Management
(Articles)
Wang Chen
,
Dexiang Mei
American Journal of Industrial and Business Management
Vol.16 No.4
, April 20, 2026
DOI:
10.4236/ajibm.2026.164019
26
Downloads
175
Views
Citations
Reliability-Centered Automation Testing for the ServiceNow Platform with Automated Test Framework (ATF)
(Articles)
Nayan Patel
Technology and Investment
Vol.17 No.1
, February 2, 2026
DOI:
10.4236/ti.2026.171006
81
Downloads
639
Views
Citations
A High-Level Risk Management Framework as Part of an Overall Asset Management Process for the Assessment of Industry 4.0 and Its Corollary Industry 5.0 Related New Emerging Technological Risks in Socio-Technical Systems
(Articles)
Issa Diop
,
Georges Georges Abdul-Nour
,
Dragan Komljenovic
American Journal of Industrial and Business Management
Vol.12 No.7
, July 29, 2022
DOI:
10.4236/ajibm.2022.127071
1,034
Downloads
3,562
Views
Citations
Development of Cost of Debt and Risk Formula for a Period of Financial Turbulence Focus: The Cost of Global Financial Crisis
(Articles)
Keabetswe Ramantshane
Technology and Investment
Vol.14 No.2
, May 23, 2023
DOI:
10.4236/ti.2023.142005
210
Downloads
859
Views
Citations
Using Conditional Extreme Value Theory to Estimate Value-at-Risk for Daily Currency Exchange Rates
(Articles)
Cyprian O. Omari
,
Peter N. Mwita
,
Antony G. Waititu
Journal of Mathematical Finance
Vol.7 No.4
, November 2, 2017
DOI:
10.4236/jmf.2017.74045
2,303
Downloads
8,478
Views
Citations
An Examination of the Extent to Which Systemic Risk Is Prevalent in the Zambian Banking Industry
(Articles)
Chresta C. Kaluba
Journal of Financial Risk Management
Vol.13 No.3
, August 28, 2024
DOI:
10.4236/jfrm.2024.133023
154
Downloads
766
Views
Citations
Institutional Economics, Risk Management, and Breakdown of Corporate Social Responsibility: Towards a New Architecture of Financial Markets
(Articles)
Hans-Georg Petersen
,
Alexander Martin Wiegelmann
iBusiness
Vol.5 No.3B
, November 8, 2013
DOI:
10.4236/ib.2013.53B039
5,585
Downloads
8,184
Views
Citations
Regulating Liquidity Risks within “Institutional Protection Schemes”
(Articles)
Thomas Stern
Beijing Law Review
Vol.5 No.3
, September 29, 2014
DOI:
10.4236/blr.2014.53020
5,709
Downloads
9,008
Views
Citations
The Market Pricing of Information Risk: From the Perspective of the Generating and Utilizing of Information
(Articles)
Xindong Zhang
,
Xin Li
Journal of Financial Risk Management
Vol.3 No.4
, December 15, 2014
DOI:
10.4236/jfrm.2014.34014
3,454
Downloads
4,909
Views
Citations
Dynamic Structure of the Global Financial System of Systems
(Articles)
Khaldoun Khashanah
,
Yue Li
Modern Economy
Vol.7 No.11
, October 20, 2016
DOI:
10.4236/me.2016.711124
1,787
Downloads
3,670
Views
Citations
This article belongs to the Special Issue on
Ecological Economics Research
Systemic Risk of Conventional and Islamic Banks: Comparison with Graphical Network Models
(Articles)
Shatha Qamhieh Hashem
,
Paolo Giudici
Applied Mathematics
Vol.7 No.17
, November 14, 2016
DOI:
10.4236/am.2016.717166
1,951
Downloads
4,384
Views
Citations
Systemic Risk in China’s Interbank Lending Market
(Articles)
Hongduo Cao
,
Ying Li
,
Weilong Chen
,
Ji Chen
Journal of Mathematical Finance
Vol.7 No.1
, February 22, 2017
DOI:
10.4236/jmf.2017.71010
2,671
Downloads
4,998
Views
Citations
An Analytic Hedging Model of Energy Quanto Contracts
(Articles)
Sang Baum Kang
,
Jialin Zhao
Theoretical Economics Letters
Vol.7 No.4
, June 7, 2017
DOI:
10.4236/tel.2017.74053
1,536
Downloads
3,279
Views
Citations
The Hedging Effectiveness of Malaysian Crude Palm Oil Futures: An Application of the Extended Mean-Gini Model
(Articles)
Kin-Boon Tang
,
Ju-Yau Tarn
Theoretical Economics Letters
Vol.8 No.11
, August 22, 2018
DOI:
10.4236/tel.2018.811162
1,235
Downloads
3,786
Views
Citations
Capital Adequacy Ratios as Predictors of Financial Distress in Kenyan Commercial Banks
(Articles)
C. Karugu
,
G. Achoki
,
P. Kiriri
Journal of Financial Risk Management
Vol.7 No.3
, September 27, 2018
DOI:
10.4236/jfrm.2018.73018
2,398
Downloads
5,602
Views
Citations
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