Financial ratios and bankruptcy predictions: An international evidence
S Tian, Y Yu - International Review of Economics & Finance, 2017 - Elsevier
We study bankruptcy prediction over the international market using Compustat Global
database. First, we apply a popular variable selection method, adaptive LASSO (least …
database. First, we apply a popular variable selection method, adaptive LASSO (least …
Determinants of the probability of default: the case of the internationally listed shipping corporations
A Lozinskaia, A Merikas, A Merika… - Maritime Policy & …, 2017 - Taylor & Francis
In this study, we use a sample of 192 listed shipping companies and employ a logit model in
order to investigate the determinants of the probability of default. We enhance our analysis …
order to investigate the determinants of the probability of default. We enhance our analysis …
Tunneling through related-party loan guarantees: evidence from a quasi-experiment in China
W Huang - Review of Quantitative Finance and Accounting, 2016 - Springer
We use the balance of outstanding related-party loan guarantees (RPLG) issued by Chinese
listed firms as a direct measure of tunneling. By adopting institutional perspectives and a …
listed firms as a direct measure of tunneling. By adopting institutional perspectives and a …
Corporate social responsibility rating, corporate governance, and financial distress: evidence from China
C Guotai, H Khalil, C Erraja - Asia‐Pacific Journal of Financial …, 2023 - Wiley Online Library
This study investigates the relationship between corporate social responsibility (CSR) and
financial distress in China using the O‐score and a Chinese sample of 4202 observations …
financial distress in China using the O‐score and a Chinese sample of 4202 observations …
Analysing corporate insolvency in the Gulf Cooperation Council using logistic regression and multidimensional scaling
In this paper, we examine corporate insolvency in the Gulf Cooperation Council (GCC)
region between 2004 and 2011. Data comprises 28 financial ratio variables from 112 firms …
region between 2004 and 2011. Data comprises 28 financial ratio variables from 112 firms …
Cash holding and financial stability during a crisis: a case study of Vietnamese firms in covid-19 pandemic
CK Nguyen, AQ Nguyen, NQ Nguyen… - Forum for Social …, 2023 - Taylor & Francis
This paper aims to examine whether cash holding can enhance the financial stability of firms
under the impact of the Covid-19 pandemic. We utilize quarterly data of 285 Vietnamese …
under the impact of the Covid-19 pandemic. We utilize quarterly data of 285 Vietnamese …
[Retracted] Latest Lessons from the Bankruptcy of State‐Owned Enterprises (SOEs) in China: An Interpretative Structural Model (ISM) Approach
Q Lin, L Feng, C Khiewngamdee… - Discrete Dynamics in …, 2022 - Wiley Online Library
State‐owned enterprises (SOEs) play an important role in China. During the transformation
from a planned to a market economy, plenty of Chinese SOEs fell into trouble. Dalian …
from a planned to a market economy, plenty of Chinese SOEs fell into trouble. Dalian …
[PDF][PDF] Firm Specific and Macroeconomic Determinants of Probability of Default: A Case of Pakistani Non-Financial Sector.
Z Hamid, MA Siddiqui - International Journal of Sustainable …, 2023 - researchgate.net
Accepted: 15 February 2023 This study extends the literature on the capital structure by
examining the effect of firm specific and macroeconomic factors on probability of default …
examining the effect of firm specific and macroeconomic factors on probability of default …
İşletmelerde finansal başarısızlık tahmininde veri madenciliği yöntemlerinin karşılaştırılması: BISTde bir uygulama
B Aksoy - 2018 - acikbilim.yok.gov.tr
Finansal başarısızlık tahmini, finans alanında önemli araştırma konularından biri olmuştur.
Her koşul ve ortamda kullanılabilecek mükemmel bir tahmin yöntemi ve modelinin olmayışı …
Her koşul ve ortamda kullanılabilecek mükemmel bir tahmin yöntemi ve modelinin olmayışı …
Моделирование вероятности банкротства российских нефинансовых компаний
ЕЮ Макушина, ИА Шихлярова - Финансы и кредит, 2018 - cyberleninka.ru
Предмет. Объектом исследования выступают российские нефинансовые компании.
Рассматривается влияние финансовых показателей компании на вероятность ее …
Рассматривается влияние финансовых показателей компании на вероятность ее …