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2.
Credit rating agency efficiency: Credit watch, monitoring role, and effects of earnings management
by Zhao, Qiuhong, Ph.D.  University of Colorado at Boulder. 2010: 104 pages; 3419551.
3.
Essays on Credit Scores, Strategic Behavior, and Default with Credit Cards
by Bonca, Bogdan L., Ph.D.  The George Washington University. 2013: 228 pages; 3587867.
5.
An examination of the credit rating industry
by Schorno, Patrick Jason, Ph.D.  The University of North Carolina at Charlotte. 2013: 99 pages; 3594083.
7.
Essays on macroeconomics and credit risk
by Gururaj, Sudarshan P., Ph.D.  Columbia University. 2009: 152 pages; 3348432.
8.
Liquidity, credit risk and pricing of corporate bond
by Sun, Xiaoli, M.Sc.  Singapore Management University (Singapore). 2008: 77 pages; 1489319.
9.
Bayesian Networks with an application to credit risk
by Kent, Geoffrey, M.S.  California State University, Long Beach. 2014: 173 pages; 1526920.
10.
Credit Risk and Return Predictability in Corporate and Residential Finance
by Thomas, Jason M., Ph.D.  The George Washington University. 2012: 146 pages; 3518363.
11.
The Cost of Credit: Protecting Consumers in a Regulated Fringe Credit Market
by Mack, Devin Langdon, LL.M.  The George Washington University. 2017: 69 pages; 10634169.
15.
The Positive Alternative Credit Experience (PACE) Program A Quantitative Comparative Study
by Warren, Rebecca Anne, Ed.D.  Lindenwood University. 2011: 224 pages; 3481165.
19.
Costly Screening and the Market Structure of Consumer Credit
by Yu, Pingkang, Ph.D.  The George Washington University. 2012: 184 pages; 3527464.
21.
Do Traded Credit Default Swaps Impact Lenders' Monitoring Activities? Evidence From Private Loan Agreements
by Sustersic, Jennifer Lynn, Ph.D.  The Ohio State University. 2012: 90 pages; 10631289.
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25.
Essays on supply risk in global operations
by Wang, Yimin, Ph.D.  The University of North Carolina at Chapel Hill. 2007: 278 pages; 3288971.
26.
Essays in Macroeconomics
by Jacobson, Margaret M., Ph.D.  Indiana University. 2020: 264 pages; 27959194.
28.
Essays on Credit Default Swaps and Corporate Debt Financing Decisions
by Darst, R. Matthew, Ph.D.  The George Washington University. 2015: 205 pages; 3718430.
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30.
Idiosyncratic risk and risk taking behavior of mutual fund managers
by Wang, Gao, M.Sc.  Singapore Management University (Singapore). 2011: 53 pages; 1494104.
1 - 30 of 38510 displayed.
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