Credit risk measurement under Basel II : an overview and implementation issues for developing countries
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- Étienne Farvaque & Catherine Refait-Alexandre, 2016.
"Les exigences de transparence des accords de Bâle : aubaine ou fardeau pour les pays en développement ?,"
Mondes en développement, De Boeck Université, vol. 0(1), pages 131-147.
- Etienne Farvaque & Catherine Refait-Alexandre, 2015. "Les exigences de transparence des accords de Bâle: Aubaine ou fardeau pour les pays en développement ?," Working Papers 2015-09, CRESE.
- Etienne Farvaque & Catherine Refait-Alexandre, 2016. "Les exigences de transparence des accords de Bâle : aubaine ou fardeau pour les pays en développement ?," Post-Print hal-01744458, HAL.
- Etienne Farvaque & Catherine Refait-Alexandre, 2015. "Les exigences de transparence des accords de Bâle: Aubaine ou fardeau pour les pays en développement ?," Working Papers hal-01376914, HAL.
- Jakub Seidler, 2008. "Implied Market Loss Given Default: structural-model approach," Working Papers IES 2008/26, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, revised Oct 2008.
- Rodriguez, Analía, 2007. "Distribución de pérdidas de la cartera de créditos: el método unifactorial de Basilea II vs. estimaciones no paramétricas," MPRA Paper 12637, University Library of Munich, Germany.
- Alicia García-Herrero & Sergio Gavilá, 2006.
"Posible impacto de Basilea II en los países emergentes,"
Boletín, CEMLA, vol. 0(3), pages 103-124, Julio-sep.
- Alicia García-Herrero & Sergio Gavilá, 2006. "Posible impacto de Basilea II en los países emergentes," Occasional Papers 0606, Banco de España.
- Durguner, Seda & Barry, Peter J. & Katchova, Ani L., 2006. "Credit Scoring Models: A Comparison between Crop and Livestock Farms," 2006 Annual meeting, July 23-26, Long Beach, CA 21431, American Agricultural Economics Association (New Name 2008: Agricultural and Applied Economics Association).
- Bolzico, Javier & Mascaro, Yira & Granata, Paola, 2007. "Practical guidelines for effective bank resolution," Policy Research Working Paper Series 4389, The World Bank.
- Bermpei, Theodora & Karadimitropoulou, Aikaterini & Triantafyllou, Athanasios & Alshalahi, Jebreel, 2023.
"Does commodity price uncertainty matter for the cost of credit? Evidence from developing and advanced economies,"
Journal of Commodity Markets, Elsevier, vol. 29(C).
- Theodora Bermpei & Aikaterini Karadimitropoulou & Athanasios Triantafyllou & Jebreel Alshalahi, 2023. "Does commodity price uncertainty matter for the cost of credit? Evidence from developing and advanced economies," Post-Print hal-04129400, HAL.
- Benjamin Collier & Jerry Skees, 2012.
"Increasing the resilience of financial intermediaries through portfolio-level insurance against natural disasters,"
Natural Hazards: Journal of the International Society for the Prevention and Mitigation of Natural Hazards, Springer;International Society for the Prevention and Mitigation of Natural Hazards, vol. 64(1), pages 55-72, October.
- Collier, Benjamin & Skees, Jerry R., 2012. "Increasing the Resilience of Financial Intermediaries through Portfolio-Level Insurance against Natural Disasters," 2012 Conference, August 18-24, 2012, Foz do Iguacu, Brazil 125535, International Association of Agricultural Economists.
- Ali, Syed Babar, 2012. "Quality of Internal Risk Rating Frameworks at Commercial Banks in Pakistan," MPRA Paper 55117, University Library of Munich, Germany.
- Erol Muzir, 2013. "Impact of Placement Choices and Governance Issues on Credit Risk in Banking: Nonparametric Evidence from an Emerging Market," Journal of Knowledge Management, Economics and Information Technology, ScientificPapers.org, vol. 3(4), pages 1-6, August.
- Rodríguez Dupuy, Analía, 2007. "Loan portfolio loss distribution: Basel II unifactorial approach vs. Non parametric estimations," MPRA Paper 10697, University Library of Munich, Germany.
- Bhattacharya, Mita & Inekwe, John Nkwoma & Valenzuela, Maria Rebecca, 2020. "Credit risk and financial integration: An application of network analysis," International Review of Financial Analysis, Elsevier, vol. 72(C).
More about this item
Keywords
Banks&Banking Reform; Banking Law; Insurance&Risk Mitigation; Financial Intermediation; Economic Theory&Research;All these keywords.
NEP fields
This paper has been announced in the following NEP Reports:- NEP-DEV-2005-12-14 (Development)
- NEP-FIN-2005-12-14 (Finance)
- NEP-FMK-2005-12-14 (Financial Markets)
- NEP-REG-2005-12-14 (Regulation)
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