Subjects -> BUSINESS AND ECONOMICS (Total: 3570 journals)
    - ACCOUNTING (132 journals)
    - BANKING AND FINANCE (306 journals)
    - BUSINESS AND ECONOMICS (1248 journals)
    - CONSUMER EDUCATION AND PROTECTION (20 journals)
    - COOPERATIVES (4 journals)
    - ECONOMIC SCIENCES: GENERAL (212 journals)
    - ECONOMIC SYSTEMS, THEORIES AND HISTORY (235 journals)
    - FASHION AND CONSUMER TRENDS (20 journals)
    - HUMAN RESOURCES (103 journals)
    - INSURANCE (26 journals)
    - INTERNATIONAL COMMERCE (145 journals)
    - INTERNATIONAL DEVELOPMENT AND AID (103 journals)
    - INVESTMENTS (22 journals)
    - LABOR AND INDUSTRIAL RELATIONS (61 journals)
    - MACROECONOMICS (17 journals)
    - MANAGEMENT (595 journals)
    - MARKETING AND PURCHASING (116 journals)
    - MICROECONOMICS (23 journals)
    - PRODUCTION OF GOODS AND SERVICES (143 journals)
    - PUBLIC FINANCE, TAXATION (37 journals)
    - TRADE AND INDUSTRIAL DIRECTORIES (2 journals)

MARKETING AND PURCHASING (116 journals)                     

Showing 1 - 105 of 105 Journals sorted alphabetically
Advances in International Marketing     Full-text available via subscription   (Followers: 6)
AMS Review     Partially Free   (Followers: 3)
Applied Marketing Analytics     Full-text available via subscription   (Followers: 4)
Arts and the Market     Hybrid Journal   (Followers: 5)
Asia Pacific Public Relations Journal     Open Access   (Followers: 1)
Atlantic Marketing Journal     Open Access   (Followers: 3)
Australasian Marketing Journal (AMJ)     Hybrid Journal   (Followers: 4)
CBR - Consumer Behavior Review     Open Access  
Cogent Business & Management     Open Access   (Followers: 2)
Consumer Psychology Review     Hybrid Journal   (Followers: 3)
Customer Needs and Solutions     Hybrid Journal   (Followers: 4)
European Journal of Management Issues     Open Access   (Followers: 1)
Expert Journal of Marketing     Open Access   (Followers: 4)
IMP Journal     Hybrid Journal  
Innovative Marketing     Open Access   (Followers: 4)
International Journal of Applied Behavioral Economics     Full-text available via subscription   (Followers: 18)
International Journal of Customer Relationship Marketing and Management     Full-text available via subscription   (Followers: 11)
International Journal of Event and Festival Management     Hybrid Journal   (Followers: 6)
International Journal of Export Marketing     Hybrid Journal   (Followers: 1)
International Journal of Industrial Marketing     Open Access   (Followers: 7)
International Journal of Internet Marketing and Advertising     Hybrid Journal   (Followers: 20)
International Journal of Islamic Marketing and Branding     Hybrid Journal   (Followers: 5)
International Journal of Leisure and Tourism Marketing     Hybrid Journal   (Followers: 15)
International Journal of Marketing Studies     Open Access   (Followers: 12)
International Journal of Online Marketing     Full-text available via subscription   (Followers: 5)
International Journal of Sport Communication     Hybrid Journal   (Followers: 6)
International Journal of Sports Marketing and Sponsorship     Hybrid Journal  
International Review of Communication and Marketing Mix : IROCAMM     Open Access   (Followers: 1)
International Review of Management and Marketing     Open Access   (Followers: 12)
Italian Journal of Marketing     Hybrid Journal  
Journal of Advertising Education     Hybrid Journal  
Journal of Brand Management     Hybrid Journal   (Followers: 12)
Journal of Brand Strategy     Full-text available via subscription   (Followers: 4)
Journal of Business Logistics     Hybrid Journal   (Followers: 8)
Journal of Business-to-Business Marketing     Hybrid Journal   (Followers: 13)
Journal of Contemporary Marketing Science     Hybrid Journal   (Followers: 1)
Journal of Credit Risk     Full-text available via subscription   (Followers: 1)
Journal of Cultural Marketing Strategy     Full-text available via subscription   (Followers: 1)
Journal of Destination Marketing & Management     Hybrid Journal  
Journal of Digital & Social Media Marketing     Full-text available via subscription   (Followers: 16)
Journal of Economics and Management Sciences     Open Access  
Journal of Education Advancement & Marketing     Full-text available via subscription   (Followers: 1)
Journal of Euromarketing     Hybrid Journal   (Followers: 3)
Journal of Fashion Marketing and Management     Hybrid Journal   (Followers: 9)
Journal of Global Fashion Marketing     Hybrid Journal   (Followers: 2)
Journal of Global Responsibility     Hybrid Journal   (Followers: 3)
Journal of Global Scholars of Marketing Science : Bridging Asia and the World     Hybrid Journal   (Followers: 1)
Journal of Historical Research in Marketing     Hybrid Journal   (Followers: 4)
Journal of Hospitality Marketing & Management     Hybrid Journal   (Followers: 8)
Journal of International Marketing Modeling     Open Access   (Followers: 1)
Journal of Islamic Marketing     Hybrid Journal   (Followers: 4)
Journal of Marketing Analytics     Hybrid Journal   (Followers: 5)
Journal of Marketing and Consumer Research     Open Access   (Followers: 6)
Journal of Marketing and HR     Open Access   (Followers: 2)
Journal of Marketing Behavior     Full-text available via subscription   (Followers: 9)
Journal of Marketing Channels     Hybrid Journal   (Followers: 5)
Journal of Marketing for Higher Education     Hybrid Journal   (Followers: 10)
Journal of Marketing Management     Hybrid Journal   (Followers: 21)
Journal of Medical Marketing     Hybrid Journal   (Followers: 12)
Journal of Personal Selling and Sales Management     Hybrid Journal   (Followers: 9)
Journal of Place Management and Development     Hybrid Journal   (Followers: 1)
Journal of Research in Interactive Marketing     Hybrid Journal   (Followers: 6)
Journal of Research in Marketing and Entrepreneurship     Hybrid Journal   (Followers: 10)
Journal of Revenue and Pricing Management     Hybrid Journal   (Followers: 4)
Journal of Social Marketing     Hybrid Journal   (Followers: 7)
Journal of the Association for Consumer Research     Full-text available via subscription   (Followers: 7)
Journal of Theoretical and Applied Electronic Commerce Research     Open Access  
Jurnal Ekonomi Manajemen     Open Access  
Jurnal Manajemen dan Pemasaran Jasa     Open Access  
Jurnal Manajemen Dayasaing     Open Access  
Jurnal Manajemen Teori dan Terapan | Journal of Theory and Applied Management     Open Access  
Luxury : History, Culture, Consumption     Full-text available via subscription   (Followers: 2)
Luxury Research Journal     Hybrid Journal   (Followers: 2)
Management & Marketing     Open Access   (Followers: 2)
Management of Organizations: Systematic Research     Open Access  
Management Sciences. Nauki o Zarz?dzaniu     Open Access  
Marco : Márketing y Comunicación Política     Full-text available via subscription  
Marketing & Tourism Review     Open Access   (Followers: 1)
Marketing Education Review     Full-text available via subscription   (Followers: 6)
Marketing Theory     Hybrid Journal   (Followers: 15)
Matrik : Jurnal Manajemen, Strategi Bisnis dan Kewirausahaan     Open Access  
Mercati & Competitività     Full-text available via subscription  
NIM Marketing Intelligence Review     Free   (Followers: 1)
Nonprofit Communications Report     Hybrid Journal   (Followers: 3)
Organicom     Open Access  
Pacific Rim Property Research Journal     Hybrid Journal  
Pensar la Publicidad. Revista Internacional de Investigaciones Publicitarias     Open Access  
Poliantea     Open Access  
Propel Journal of Applied Management     Open Access   (Followers: 3)
Public Opinion Quarterly     Hybrid Journal   (Followers: 22)
Public Relations Inquiry     Hybrid Journal   (Followers: 5)
Publicitas : Comunicación y Cultura     Open Access  
Questiones Publicitarias     Open Access  
Recherche et Applications en Marketing     Hybrid Journal   (Followers: 1)
Recherche et Applications en Marketing (English Edition)     Hybrid Journal   (Followers: 1)
Research in Electronic Commerce Frontiers     Open Access   (Followers: 1)
Research World     Hybrid Journal  
Review of Market Integration     Hybrid Journal   (Followers: 2)
Review of Marketing Research     Hybrid Journal   (Followers: 13)
Revista Eletrônica Academicus     Open Access  
Social Marketing Quarterly     Hybrid Journal   (Followers: 6)
South Asian Journal of Marketing     Open Access   (Followers: 2)
Spanish Journal of Marketing - ESIC     Open Access  
Studia Universitatis Babes-Bolyai Oeconomica     Open Access   (Followers: 2)
Universal Journal of Industrial and Business Management     Open Access  

           

Similar Journals
Journal Cover
Journal of Credit Risk
Journal Prestige (SJR): 0.228
Number of Followers: 1  
 
  Full-text available via subscription Subscription journal
ISSN (Print) 1744-6619 - ISSN (Online) 1755-9723
Published by Risk.Net Homepage  [3 journals]
  • Sec-lending haircuts and indemnification pricing

    • Free pre-print version: Loading...

      Abstract: A pricing method for borrowed securities that includes haircut and indemnification is introduced
      PubDate: Thu, 17 Feb 2022 04:30:00 +000
       
  • XVAs and counterparty credit risk for energy markets: addressing the
           challenges and unravelling complexity

    • Free pre-print version: Loading...

      Abstract: In this webinar, a panel of quantitative researchers and risk practitioners from banks, energy firms and a software vendor discuss practical challenges in the modelling and risk management of XVAs and CCR in the energy markets, and how to overcome them.
      PubDate: Thu, 02 Dec 2021 10:34:59 +000
       
  • Credit risk & modelling – Special report 2021

    • Free pre-print version: Loading...

      Abstract: This Risk special report provides an insight on the challenges facing banks in measuring and mitigating credit risk in the current environment, and the strategies they are deploying to adapt to a more stringent regulatory approach.
      PubDate: Wed, 17 Nov 2021 17:02:10 +000
       
  • The wild world of credit models

    • Free pre-print version: Loading...

      Abstract: The Covid-19 pandemic has induced a kind of schizophrenia in credit risk models. When the pandemic hit, banks overprovisioned for credit losses on the assumption that the economy would head south. But when government stimulus packages put wads of cash in the hands of consumers and businesses, the models changed course, leading banks to release reserves back into the income statement. This year, the models have shifted yet again as the stimulus programmes wind down and banks assess the impact on borrowers
      PubDate: Wed, 17 Nov 2021 16:46:44 +000
       
  • Driving greater value in credit risk and modelling

    • Free pre-print version: Loading...

      Abstract: A forum of industry leaders discusses the challenges facing banks in measuring and mitigating credit risk in the current environment, and strategies to adapt to a more stringent regulatory framework in the future
      PubDate: Wed, 17 Nov 2021 16:38:30 +000
       
  • Accelerating the evolution of credit decisioning and modelling

    • Free pre-print version: Loading...

      Abstract: Anthony Mancuso, director, global head of risk modelling and decisioning at SAS explains the importance of developing a fully capable credit modelling lifecycle to empower non-specialist personnel, and offers insight into its own solutions to this end, which can provide a seamless experience across business lines and improve the speed of credit decisions
      PubDate: Wed, 20 Oct 2021 14:06:18 +010
       
  • Natural language processing and transformer models for credit risk

    • Free pre-print version: Loading...

      Abstract: News feeds are factored into models to predict credit events
      PubDate: Mon, 23 Aug 2021 04:30:00 +010
       
  • PBs get new help in war on generosity

    • Free pre-print version: Loading...

      Abstract: Big FX venue operators offer way to reduce overallocation of credit
      PubDate: Fri, 23 Jul 2021 04:30:00 +010
       
  • The outlook for 2021 – Credit risk

    • Free pre-print version: Loading...

      PubDate: Mon, 01 Feb 2021 13:38:42 +000
       
  • Monthly credit data review: UK corporates’ post-Brexit slide

    • Free pre-print version: Loading...

      Abstract: UK financials show steady post-Brexit decline in credit quality; EU financials now on par
      PubDate: Wed, 11 Oct 2017 07:00:00 +010
       
  • Calibrating Heston for credit risk

    • Free pre-print version: Loading...

      Abstract: Marco de Innocentis and Sergei Levendorskiĭ describe a faster and more accurate method for market-implied calibration of the Heston model
      PubDate: Wed, 13 Sep 2017 10:35:31 +010
       
  • Monthly credit data review: energy sector firing on all cylinders

    • Free pre-print version: Loading...

      Abstract: Bank-sourced credit data shows rising confidence about oil and gas firms
      PubDate: Thu, 31 Aug 2017 07:00:00 +010
       
  • Monthly credit data review: the Amazon effect and a rising Russian state

    • Free pre-print version: Loading...

      Abstract: David Carruthers of Credit Benchmark looks at bank, sovereign and corporate credit risk data
      PubDate: Mon, 31 Jul 2017 13:46:52 +010
       
  • Exploring a new frontier: Using cognitive technology to strengthen credit
           risk management

    • Free pre-print version: Loading...

      Abstract: Cognitive technology has the power to enhance the efficiency and accuracy of credit risk management practices, but views on implementation remain mixed. As these new technologies become more established, organisations that embrace them can become more agile and competitive.
      PubDate: Mon, 26 Jun 2017 15:10:42 +010
       
  • Managing and monitoring a single view of concentration risk

    • Free pre-print version: Loading...

      Abstract: Banking standards for monitoring and controlling large exposures have uncovered a need for tools that can streamline credit risk management systems and create a single enterprise-wide view of risk as an early warning system against future crises
      PubDate: Wed, 07 Jun 2017 11:52:39 +010
       
  • Risk managers in power struggle over IFRS 9 model development

    • Free pre-print version: Loading...

      Abstract: Putting accounting specialists in charge of IFRS 9 models is ‘not optimal’
      PubDate: Thu, 18 May 2017 05:00:00 +010
       
  • Monthly credit data review: gloomier than spreads suggest

    • Free pre-print version: Loading...

      Abstract: David Carruthers of Credit Benchmark looks at banks’ credit risk data
      PubDate: Wed, 26 Apr 2017 06:00:00 +010
       
  • Banks look to repurpose credit risk models for IFRS 9

    • Free pre-print version: Loading...

      Abstract: Dealers adapt capital models for new accounting standard, but shortcut has challenges
      PubDate: Tue, 25 Apr 2017 13:45:34 +010
       
  • Spike in bad loans raises scrutiny of P2P credit models

    • Free pre-print version: Loading...

      Abstract: Jump in delinquencies at some lenders prompts questions over modelling practices, but firms stand by their approach
      PubDate: Fri, 07 Apr 2017 06:00:00 +010
       
  • CLO investors fret as rate hikes loom

    • Free pre-print version: Loading...

      Abstract: Rising default rates could trigger a stampede out of the market
      PubDate: Wed, 15 Mar 2017 08:14:20 +000
       
  • Banks seek capital relief for ECL reserves

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      Abstract: Capital rules fail to recognise risk-reducing effect of loss reserves, lenders say
      PubDate: Tue, 14 Mar 2017 01:00:00 +000
       
  • Basel set to decide on capital relief for accounting changes

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      Abstract: Phase-in to IFRS 9 and Cecl needed to avert "a dramatic overnight drop in regulatory capital", say auditors
      PubDate: Mon, 16 Jan 2017 00:05:00 +000
       
  • Multiple NPL models better than single models, research finds

    • Free pre-print version: Loading...

      Abstract: Combinations of models produce better NPL estimates in study of Greek crisis
      PubDate: Tue, 29 Nov 2016 08:54:13 +000
       
  • Exposing actionable insights in credit risk management

    • Free pre-print version: Loading...

      Abstract: Business leaders from Moody’s Analytics and Qlik discuss the value of industry data and visual analytics
      PubDate: Tue, 15 Nov 2016 15:39:00 +000
       
  • Banks: OCC guidance forced downgrade of healthy energy loans

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      Abstract: Loans with low loss given defaults now considered impaired, lenders complain
      PubDate: Fri, 04 Nov 2016 10:39:00 +000
       
  • Interview: US Treasury CRO on credit risk, Tarp and cyber threats

    • Free pre-print version: Loading...

      Abstract: Ken Phelan stresses importance of credit risk management in key Treasury role
      PubDate: Fri, 07 Oct 2016 13:44:00 +010
       
  • Loan classification under IFRS 9

    • Free pre-print version: Loading...

      Abstract: IFRS 9 requires classifying non-defaulted loans in two stages depending on their credit quality evolution since initial recognition by the bank. In this paper, Vivien Brunel proposes an optimal way to perform this classification. Target values of some key performance indicators of the provisioning model emerge from the implementation of this process. In particular he computes the target value of the stage 2 ‘hit rate’ and the size of the stage 2 portfolio
      PubDate: Tue, 03 May 2016 15:58:00 +010
       
  • Banking redefined: Helping clients succeed in the new market structure

    • Free pre-print version: Loading...

      Abstract: The relationship between banks and their clients is changing. Clients face a range of new challenges arising from higher capital requirements and changing market structure, notes Mark Goodman, UBS global head of electronic trading for foreign exchange, rates and credit. In this increasingly complex market landscape, successful banks will be those that deliver innovative, cost-effective ways to help clients find the right liquidity and achieve quality execution
      PubDate: Tue, 29 Mar 2016 09:00:00 +010
       
  • Industry fears grow ahead of Basel IRB consultation

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      Abstract: Biggest share of bank capital at stake as regulators take aim at credit models
      PubDate: Fri, 18 Mar 2016 13:33:00 +000
       
  • CVA with Greeks and AAD

    • Free pre-print version: Loading...

      Abstract: Calculating CVA is a daunting task. Here, Adil Reghai, Othmane Kettani and Marouen Messaoud introduce a new approach for CVA valuation in a Monte Carlo setting using adjoint algorithmic differentiation. They take advantage of the duality relationships between parameter and hedging sensitivities combined with the martingale representation theorem to calculate CVA in an efficient manner
      PubDate: Fri, 27 Nov 2015 16:00:00 +000
       
  • Jumping with default: wrong-way risk modelling for CVA

    • Free pre-print version: Loading...

      Abstract: Fabio Mercurio and Minqiang Li investigate credit valuation adjustments (CVAs) in the presence of wrong-way risk by introducing jumps at default to model the correlation between counterparty default and relevant risk factors. Efficient approximations based on CVA formulas with the independence assumption are presented, and numerical examples for a cross-currency swap and a vanilla interest rate swap are showcased
      PubDate: Wed, 04 Nov 2015 13:06:00 +000
       
  • FVA for general instruments

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      Abstract: Computing the funding valuation adjustment (FVA) is hard, as it requires the numerical solution of generally non-linear partial differential equations. In this paper, Alexander Antonov, Marco Bianchetti and Ion Mihai develop a universal and efficient approach to numerical FVA calculation for portfolios of general instruments with multiple stochastic assets and funding sources
      PubDate: Tue, 03 Nov 2015 13:46:00 +000
       
  • Wrong-way risk done right

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      Abstract: Here, Jacky Lee and Luca Capriotti present an arbitrage-free valuation framework for the counterparty exposure of credit derivatives portfolios. The method is able to consistently capture the effects of credit spread volatility and credit correlations. By introducing fast semi-analytical approximations, they demonstrate how the proposed approach can be used to handle large portfolios of credit default swaps under financially realistic models of default intensities
      PubDate: Fri, 28 Aug 2015 10:42:00 +010
       
  • Banks attack proposed risk weights for specialised loans

    • Free pre-print version: Loading...

      Abstract: EU lenders say both of the EBA’s suggested methods for risk-weighting real estate and other specialised loans would distort regulatory capital
      PubDate: Mon, 17 Aug 2015 17:02:00 +010
       
  • Shadow banks eye accounts receivable as lenders retreat

    • Free pre-print version: Loading...

      Abstract: Providing loans against unpaid invoices is an old business that is being done in some very new ways. Facing increased capital costs, banks are retreating into a distribution and structuring role, with hedge funds and other investors taking the credit risk
      PubDate: Wed, 22 Jul 2015 10:13:00 +010
       
  • Malaysia central bank: credit reporting could unite Asean markets

    • Free pre-print version: Loading...

      Abstract: The Asean Economic Community faces a challenge of successfully integrating regional financial markets, Bank Negara's Muhammad bin Ibrahim says
      PubDate: Thu, 14 May 2015 10:02:00 +010
       
  • BIS research posits test for unsustainable credit growth

    • Free pre-print version: Loading...

      Abstract:
      Authors link long-run credit growth with leverage and debt service ratio, proposing a model they claim would have helped predict the 2008 financial crisis three years before it struck
      PubDate: Mon, 11 May 2015 11:31:19 +010
       
  • Warehousing credit risk: pricing, capital and tax

    • Free pre-print version: Loading...

      Abstract: Warehousing of credit risk increases capital requirements and influences profit and loss. Profits are taxable and losses provide tax credits. Here, Chris Kenyon and Andrew Green extend the semi-replication approach of Burgard and Kjaer to formalise credit risk warehousing effects on pricing, including capital, and tax adjustments
      PubDate: Tue, 03 Feb 2015 15:48:00 +000
       
  • IMF report calls for reform of securitisation markets

    • Free pre-print version: Loading...

      Abstract: Staff report emphasises need to make securitisation practices more robust while spurring demand; calls for standardised classifications of underlying risk characteristics
      PubDate: Fri, 30 Jan 2015 13:40:54 +000
       
  • CCPs confront the difficult maths of default management

    • Free pre-print version: Loading...

      Abstract: When a member of a clearing house goes down, surviving banks send some of their coolest heads to help run the default management process. It worked well when Lehman Brothers collapsed, but there are more CCPs today, and they all have the same set of members. Cécile Sourbes reports
      PubDate: Wed, 28 Jan 2015 06:02:00 +000
       
  • Credit portfolio manager of the year: Crédit Agricole

    • Free pre-print version: Loading...

      Abstract: Innovative structuring allowed Crédit Agricole to transfer trade finance risk to an arm of the World Bank, freeing up capital. The bank's CPM team also saw its role expand to cover liquidity and funding
      PubDate: Mon, 12 Jan 2015 15:38:00 +000
       
  • Path-consistent wrong-way risk

    • Free pre-print version: Loading...

      Abstract: In this paper, Klaus Böcker and Michael Brunnbauer define a general copula wrong-way risk (WWR) model and show how different copulas affect results such as potential future exposure and credit valuation adjustment figures. They present a very general model that respects the pathwise structure of future exposure and reconciles different existing models under the same framework
      PubDate: Mon, 27 Oct 2014 15:15:00 +000
       
  • How to hedge CVA without being hurt

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      Abstract: Banks can reduce their CVA capital burden by using regulator-approved hedges, but only at the risk of painful accounting losses. The solution is a new hedging instrument that works under both regimes. By Dirk Schubert
      PubDate: Thu, 28 Aug 2014 16:03:00 +010
       
  • Credit exposure models backtesting for Basel III

    • Free pre-print version: Loading...

      Abstract: The Basel Committee on Banking Supervision has introduced strict regulatory guidance on how to validate and backtest internal model methods for credit exposure. Fabrizio Anfuso, Dimitrios Karyampas and Andreas Nawroth incorporate theseguidelines into a comprehensive statistical backtesting framework based on four pillars: risk factors, correlation, portfolio backtesting and capital buffer computation
      PubDate: Thu, 28 Aug 2014 15:39:00 +010
       
  • Adjoint credit risk management

    • Free pre-print version: Loading...

      Abstract: Adjoint algorithmic differentiation is one of the principal innovations in risk management in recent times. Luca Capriotti and Jacky Lee show how this technique can be used to compute real-time risk for credit products, even those valued with fast semi-analytical methods, like credit default swaps, indexes and swaptions
      PubDate: Wed, 23 Jul 2014 18:03:00 +010
       
 
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