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Using a naive Bayesian classifier methodology for loan risk assessment. Evidence from a Tunisian commercial bank
Aida Krichene

Abstract: Purpose – Loan default risk or credit risk evaluation is important to fi nancial institutions which provide loans to businesses and individuals. Loans carry the risk of being defaulted. To understand the risk levels of credit users (corporations and individua

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The short-term response of the Hispanic noncitizen population to anti-illegal immigration legislation. The case of Arizona SB 1070
Gonzalo E. Sánchez

Abstract: Purpose – This paper aims to examine the short-term effect of the Arizona Immigration Law of 2010 (SB 1070) on the noncitizen Hispanic state population. Design/methodology/approach – To get a consistent estimate of this effect, a synthetic control method has

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Dependencia serial de largo plazo en el índice bursátil chileno, a través del coeficiente de Hurst y Hurst ajustado

Resumen: Propósito – La presente investigación examina la existencia de memoria de largo plazo por medio del cálculo del coe fi ciente de Hurst y Hurst ajustado, y del análisis de características de estructuras caóticas en la serie del mercado bursátil de Chile, espec

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Capital structure management differences in Latin American and US firms after 2008 crisis

Abstract: Purpose – This paper aims to analyse the capital structure determining factors of Latin American and US corporations after the crisis of 2008, as a means of compar ing theoretical assumptions and empirical results in markets of different ef fi ciency levels.

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Does more energy consumption support economic growth in net energy-importing countries?
Ömer Esen Metin Bayrak

Abstract: Purpose – This study aims to examine the effects of energy consumption on economic growth by means of a panel data analysis of 75 net energy-importing countries for the period 1990 to 2012. Design/methodology/approach – For the purpose of the analysis, the co

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A behavioral analysis of the volatility of interbank interest rates in developed and emerging countries

Abstract: Purpose – This paper aims to analyse the volatility of the fi xed income market from 11 countries (Brazil, Russia, India, China, South Africa, Argentina, Chile, Mexico, USA, Germany and Japan) from January 2000 to December 2011 by examining the interbank inte

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