-
1“... regression model can improve the assessment of credit risk. Using alternative data sources, in particular...”
Get access
Thesis -
2by Hannes Árdal 1981-“...Risk management deals with three types of financial risks: market risk, credit risk and liquidity...”
Published 2013
Get access
Thesis -
3“...) as an index to measure the credit risk of a country to investigate whether the subprime crisis demonstrates a...”
Get access
Get access
Thesis -
4by Sveinn Héðinsson 1986-“...: Credit ratings, asymmetric information, market efficiency, credit risk, Icelandic financial market....”
Published 2015
Get access
Thesis -
5by Kiriliouk, Anna“... model for dependent defaults in credit risk is proposed, based on a maximum shock mechanism, providing...”
Published 2016
Get access
Thesis