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Muhammad Herru Hendrawan, Felisitas Defung & Wirasmi Wardhani. (2023) Un/desired impact of capital buffers: Evidence from Indonesian bank profitability and risk-taking. Cogent Economics & Finance 11:2.
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Sabtain Fida & Muhammad Naveed. (2021) Novel insights into banking risk structure: empirical evidence from nexus of financial, governance, and industrial landscape through nested tested modeling.. Cogent Business & Management 8:1.
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Articles from other publishers (5)
Tisa Maria Antony & Suresh G.. (2023) Determinants of credit risk: Empirical evidence from Indian commercial banks. Banks and Bank Systems 18:2, pages 88-100.
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Tuğba NUR. (2022) SPECIFIC FACTORS AFFECTING RISK-TAKING BEHAVIOUR: PANEL COINTEGRATION AND CAUSALITY ANALYSIS ON BIST BANK INDEX. Pamukkale University Journal of Social Sciences Institute.
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Le Ngoc Quynh Anh, Pham Thi Thanh Xuan & Le Thi Phuong Thanh. 2022. Financial Econometrics: Bayesian Analysis, Quantum Uncertainty, and Related Topics. Financial Econometrics: Bayesian Analysis, Quantum Uncertainty, and Related Topics
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Ming-Chin Hung, Yung-Kang Ching & Shih-Kuei Lin. (2021) Impact of COVID-19 on the Robustness of the Probability of Default Estimation Model. Mathematics 9:23, pages 3087.
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Maria Grazia Fallanca, Antonio Fabio Forgione & Edoardo Otranto. (2020) Forecasting the macro determinants of bank credit quality: a non-linear perspective. The Journal of Risk Finance 21:4, pages 423-443.
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