[HTML][HTML] Effects of a negative interest rate policy in bank profitability and risk taking: Evidence from European banks

MC López-Penabad, A Iglesias-Casal… - Research in International …, 2022 - Elsevier
This paper analyses the effect of a negative interest rate policy (NIRP) on profitability and
risk taking in the European banking sector and whether this effect is differentiated according …

[Retracted] A Convolutional Neural Network‐Based Model for Supply Chain Financial Risk Early Warning

LL Yin, YW Qin, Y Hou, ZJ Ren - Computational Intelligence …, 2022 - Wiley Online Library
At present, there are widespread financing difficulties in China's trade circulation industry.
Supply chain finance can provide financing for small‐and medium‐sized enterprises in …

Determinants of credit risk: A multiple linear regression analysis of Peruvian municipal savings banks

V Calderon-Contreras, J Ostos… - Decision Science …, 2022 - growingscience.com
In order to identify the determinants that influence the credit risk of Peruvian municipal
savings banks, this quantitative research uses a nonexperimental design and a longitudinal …

Who speaks louder, financial instruments or credit rating agencies? Analyzing the effects of different sovereign risk measures on interest rates in Brazil

GC Montes, JPN Maia - The North American Journal of Economics and …, 2023 - Elsevier
Analyzing sovereign risk measures for Brazil, we observe that credit rating agencies are
more cautious and conservative than the market to report risk rating improvements, and …

The effects of economic uncertainty and economic policy uncertainty on banks' loan loss provision in Brazil

GC Montes, M do Nascimento Valladares - Journal of Economics and …, 2024 - Elsevier
This paper investigates the effects of economic uncertainty and economic policy uncertainty
on banks' loan loss provision in Brazil, and it seeks to identify which uncertainties have the …

Country Risk and Financial Stability: A Focus on Commercial Banks in Africa

D Oyetade, PF Muzindutsi - Risks, 2023 - mdpi.com
This paper employs dynamic panel models to investigate the impact of country risk on the
financial stability of banks in Africa. Using country risk and bank specific data for 10 African …

The relationship between financial stability and transparency in social-environmental policies

C De Moraes, A Pinto Bandeira de Mello - EconomiA, 2024 - emerald.com
Purpose This work analyzes, through social-environmental reports, whether banks with
higher transparency in social-environmental policies better safeguard financial stability in …

Methods for Assessing the Economic Security of Enterprises: The Example of the Textile Industry in Uzbekistan

AU Burkhanov, BO Tursunov… - … Based on Corporate …, 2024 - emerald.com
This chapter assesses the economic security of enterprises on the example of the textile
industry of Uzbekistan. The authors considered the ways to identify new textile enterprises in …

Nexus of Public Debt and Banking Stability, What Role for Governance: Evidence from Panel Data estimations for WAEMU's Banking System

F ASSOUM, AS ALINSATO - 2023 - researchsquare.com
This paper aims to highlight the mediating role of state governance's quality in public debt
effects on banking stability using a sample of 106 banks in the WAEMU area from 2013 to …

Research on Regional Differentiation Allocation Mode of Energy Finance based on Attention Mechanism and Support Vector Machine

L Sun, H Wu - … Journal of Advanced Computer Science and …, 2022 - search.proquest.com
This paper studies the prediction method of regional differentiated allocation mode of energy
finance based on attention mechanism and support vector machine to provide scientific …