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internalized in to bank portfolios. Aligned with literature on market risks and credit risks emanating from climate risk exposure … meteorological data, data on weather disasters, bank level data and interest rate between 2011- 2022, the study found that: - i …) there exists a relationship between climate risk and bank performance to the extent that changes in interest rate spread are …
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households still remain bank credits. Besides, borrowing from P2P market is becoming more and more popular. Although the … for the Central Bank, the Ministry of Finance and other institutions that regulate the credit market, as it provides …
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We put our hypothesis very straightforward, considering the euro area and the whole European Economic and Monetary Union (EMU) banking sector. The paper's central hypothesis that capital adequacy of the EMU banking sector influenced credit growth and activities in the nonfinancial sector was...
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- the results obtained in the study are valuable for bank managers and investors. Administrative decisions and investment …
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The purpose of this paper was to investigate the determinants of risk-taking in the context of Islamic and conventional microfinance institutions (MFIs) while considering the capital structure’s role in moderating the risk-taking decisions’ effect on financial performance. Fixed and Random...
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