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Journal of Financial Risk Management
Submission
Journal of Financial Risk Management
ISSN Print:
2167-9533
ISSN Online:
2167-9541
www.scirp.net/journal/jfrm
E-mail:
[email protected]
Google-based Impact Factor:
1.92
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"
Financial Risk Measurement for Turkish Insurance Companies Using VaR Models
"
written by
Ismail Yildirim
,
published by
Journal of Financial Risk Management
,
Vol.4 No.3, 2015
has been cited by the following article(s):
Google Scholar
CrossRef
[1]
Risk Budgeting: A Tactical Asset Allocation Approach for Retirement Reserve Funds in Morocco
Journal of Financial Risk …
,
2023
[2]
Predictive Analytics and Risk Management of Property Insurance
2023
[3]
Do econometric advances lead to more accurate VaR estimations when the legislation requirements are applied? The case of Turkish Lira FX Market.
… on Business and …
,
2022
[4]
Collective Modified Value-At-Risk in Life Insurance When the Number and Amount of Claims Has Poisson-Lognormal Distributions
Review of International Geographical Education …
,
2021
[5]
Minimal draft of insurance analyse of Azerbaijan
2020
[6]
Effects of Macro-Economic Forces on Financial Risk of Insurance Companies Listed At the Nairobi Securities Exchange (2010-2017)
2019
[7]
How Accurate are Value at Risk Model at Islamic Banks? An Approach of Berkowitz Model
2019
[8]
Influence of Financial Risk on Financial Performance of Commercial Banks in Kenya
2018
[9]
Risk adjustment model of credit life insurance using a genetic algorithm
IOP Conference Series: Materials Science and Engineering
,
2018
[1]
BIST 100 Gıda İşletmelerinin Z-Skor Modeli ile Risk Analizi
Fırat Üniversitesi Sosyal Bilimler Dergisi
,
2026
DOI:
10.18069/firatsbed.1609096
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