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Social Sciences → Economics, Econometrics and Finance → Finance

Credit Risk and Financial Regulations

This cluster of papers explores the determinants of credit risk in financial markets, focusing on factors such as credit spread changes, default risk, credit default swaps, bond yields, credit ratings, sovereign debt, market spreads, liquidity, and the role of rating agencies in assessing credit risk.

50.4K works worldwide410.8K citations
Credit Spread ChangesDefault RiskCredit Default SwapsBond YieldsCredit RatingsSovereign DebtMarket SpreadsLiquidityRating AgenciesCorporate Bonds

Journals publishing in this area

1Journal of Banking & Finance cover
Journal of Banking & Finance
ISSN 0378-42661,008 articles in this topic
304h-index
2The Journal of Finance cover
The Journal of Finance
ISSN 0022-1082485 articles in this topic
658h-index
3Journal of Financial Economics cover
Journal of Financial Economics
ISSN 0304-405X310 articles in this topic
545h-index
4Review of Financial Studies cover
Review of Financial Studies
ISSN 0893-9454222 articles in this topic
390h-index