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1“... regression model can improve the assessment of credit risk. Using alternative data sources, in particular...”
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2by Hannes Árdal 1981-“...Risk management deals with three types of financial risks: market risk, credit risk and liquidity...”
Published 2013
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3by Sveinn Héðinsson 1986-“...: Credit ratings, asymmetric information, market efficiency, credit risk, Icelandic financial market....”
Published 2015
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