4
H index
2
i10 index
77
Citations
National Institute of Bank Management (NIBM) | 4 H index 2 i10 index 77 Citations RESEARCH PRODUCTION: 14 Articles 13 Papers 1 Books RESEARCH ACTIVITY:
MORE DETAILS IN: ABOUT THIS REPORT:
|
Works with: Authors registered in RePEc who have co-authored more than one work in the last five years with Arindam Bandyopadhyay. | Is cited by: | Cites to: |
| Journals with more than one article published | # docs |
|---|---|
| Journal of Risk Finance | 9 |
| Working Papers Series with more than one paper published | # docs |
|---|---|
| MPRA Paper / University Library of Munich, Germany | 13 |
| Year | Title of citing document |
|---|---|
| 2024 | Debt and debt tax benefit: Evidence from Indonesia debt-to-equity cap reform. (2024). Hermawan, Wawan ; Hutahean, Timbul Parasian ; Hasanah, Alfiah ; Kharisma, Bayu. In: Journal of Economics and Business. RePEc:eee:jebusi:v:132:y:2024:i:c:s0148619524000596. Full description at Econpapers || Download paper |
| 2024 | Anticipation of Efficacy of the Natural Gas Distribution Companies in Bangladesh: An Evaluation Regarding Z-Score Model. (2024). Sabur, Md Abdus ; Huda, Md Nazmul. In: European Journal of Business and Management Research. RePEc:epw:ejbmr0:v:9:y:2024:i:5:id:52466. Full description at Econpapers || Download paper |
| 2024 | A tőkestruktúra és a piaci érték közötti kapcsolat a hazai kis- és középvállalati szektorban. (2024). Takacs, Andras. In: Közgazdasági Szemle (Economic Review - monthly of the Hungarian Academy of Sciences). RePEc:ksa:szemle:2202. Full description at Econpapers || Download paper |
| 2026 | A closer look at the probability of default taking into account the current regulatory considerations. (2026). Ossig, Anne-Marie ; Hoffmann, Ingo ; Ernst, Dietmar ; Brner, Christoph J. In: Risk Management. RePEc:pal:risman:v:28:y:2026:i:2:d:10.1057_s41283-026-00197-9. Full description at Econpapers || Download paper |
| 2025 | Shield or Sink? Examining How Corporate Governance Influences Bankruptcy in India. (2025). Sardana, Varda ; Verma, Subir ; Singhania, Shubham ; Batra, Shallu. In: Indian Journal of Corporate Governance. RePEc:sae:ijcgvn:v:18:y:2025:i:2:p:197-220. Full description at Econpapers || Download paper |
| 2025 | The Relationship Between Capital Structure and Performance: The Case of Vietnam. (2025). Nguyen, Thi Xuan ; Tran, Manh Dung ; Do, Duc Tai. In: SAGE Open. RePEc:sae:sagope:v:15:y:2025:i:2:p:21582440251343950. Full description at Econpapers || Download paper |
| 2024 | Corporate Default Prediction Model: Evidence from the Indian Industrial Sector. (2024). Vincent, Theresa Nithila ; Shetty, Shilpa. In: Vision. RePEc:sae:vision:v:28:y:2024:i:3:p:344-360. Full description at Econpapers || Download paper |
| 2026 | Global economic policy uncertainty and credit risk in emerging economies: evidence from Bangladesh. (2026). Angela, Irine Tahjiba. In: Future Business Journal. RePEc:spr:futbus:v:12:y:2026:i:1:d:10.1186_s43093-026-00799-5. Full description at Econpapers || Download paper |
| 2024 | Requisite variety theory and third‐party guarantee loans: How local bank branches can reduce loan defaults. (2024). Patel, Pankaj C. In: Managerial and Decision Economics. RePEc:wly:mgtdec:v:45:y:2024:i:1:p:226-246. Full description at Econpapers || Download paper |
| Year | Title | Type | Cited |
|---|---|---|---|
| 2001 | Pattern of Employment in India and in Major States In: Indian Journal of Agricultural Economics. [Full Text][Citation analysis] | article | 0 |
| 2016 | Managing Portfolio Credit Risk in Banks In: Cambridge Books. [Citation analysis] | book | 3 |
| 2005 | The linkage between the firms financing decisions and real market performance: A panel study of Indian corporate sector In: Journal of Economics and Business. [Full Text][Citation analysis] | article | 8 |
| 2016 | Factors determining capital structure and corporate performance in India: Studying the business cycle effects In: The Quarterly Review of Economics and Finance. [Full Text][Citation analysis] | article | 26 |
| 2011 | Distinctive demand and risk characteristics of residential housing loan market in India In: Journal of Economic Studies. [Full Text][Citation analysis] | article | 2 |
| 2006 | Predicting probability of default of Indian corporate bonds: logistic andZ‐score model approaches In: Journal of Risk Finance. [Full Text][Citation analysis] | article | 11 |
| 2007 | Mapping corporate drift towards default In: Journal of Risk Finance. [Full Text][Citation analysis] | article | 1 |
| 2007 | Mapping corporate drift towards default.(2007) In: Journal of Risk Finance. [Full Text][Citation analysis] This paper has nother version. Agregated cites: 1 | article | |
| 2007 | Calibrating asset correlation for Indian corporate exposures In: Journal of Risk Finance. [Full Text][Citation analysis] | article | 0 |
| 2013 | Empirical estimation of default and asset correlation of large corporates and banks in India In: Journal of Risk Finance. [Full Text][Citation analysis] | article | 2 |
| 2011 | Empirical estimation of default and asset correlation of large corporates and banks in India.(2011) In: MPRA Paper. [Full Text][Citation analysis] This paper has nother version. Agregated cites: 2 | paper | |
| 2012 | Empirical estimation of default and asset correlation of large corporates and banks in India In: Journal of Risk Finance. [Full Text][Citation analysis] | article | 2 |
| 2007 | Mapping corporate drift towards default: Part 1: a market-based approach In: Journal of Risk Finance. [Full Text][Citation analysis] | article | 2 |
| 2007 | Mapping corporate drift towards default: Part 2: a hybrid credit-scoring model In: Journal of Risk Finance. [Full Text][Citation analysis] | article | 2 |
| 2007 | Calibrating asset correlation for Indian corporate exposures: Implications for regulatory capital In: Journal of Risk Finance. [Full Text][Citation analysis] | article | 6 |
| 2009 | Factors Driving Demand and Default Risk in Residential Housing Loans: Indian Evidence In: MPRA Paper. [Full Text][Citation analysis] | paper | 2 |
| 2010 | Understanding the Effect of Concentration Risk in the Banks’ Credit Portfolio: Indian Cases In: MPRA Paper. [Full Text][Citation analysis] | paper | 0 |
| 2011 | Internal Assessment of Credit Concentration Risk Capital: A Portfolio Analysis of Indian Public Sector Bank In: MPRA Paper. [Full Text][Citation analysis] | paper | 1 |
| 2013 | Ranking of Business School Journals: A Rating Guide for Researchers In: MPRA Paper. [Full Text][Citation analysis] | paper | 1 |
| 2007 | Credit Risk Models for Managing Bank’s Agricultural Loan Portfolio In: MPRA Paper. [Full Text][Citation analysis] | paper | 3 |
| 2007 | Credit Risk Models for Managing Bank’s Agricultural Loan Portfolio.(2007) In: MPRA Paper. [Full Text][Citation analysis] This paper has nother version. Agregated cites: 3 | paper | |
| 2005 | Changing Income Structure, Ownership and Performance: An Empirical Analysis of Indian Banking Sector In: MPRA Paper. [Full Text][Citation analysis] | paper | 2 |
| 2007 | RAROC & EVA :The New Drivers of Business Growth in Indian Banks In: MPRA Paper. [Full Text][Citation analysis] | paper | 1 |
| 2008 | Assessment of Economic Capital: An Equity Market approach In: MPRA Paper. [Full Text][Citation analysis] | paper | 0 |
| 2008 | A Study of Residential Housing Demand in India In: MPRA Paper. [Full Text][Citation analysis] | paper | 1 |
| 2007 | Estimating Recovery Rates on Bank’s Historical Loan Loss Data In: MPRA Paper. [Full Text][Citation analysis] | paper | 1 |
| 2019 | The Accuracy of Agency Ratings In: MPRA Paper. [Full Text][Citation analysis] | paper | 0 |
| 2023 | Interaction between credit risk, liquidity risk, and bank solvency performance: a panel study of Indian banks In: Indian Economic Review. [Full Text][Citation analysis] | article | 0 |
CitEc is a RePEc service, providing citation data for Economics since 2001. Last updated August, 20 2026. Contact: CitEc Team