@incollection{, 858DC17F176EED401C506D6F5F91527B , author={{Fabrice TchakounteKegninkeu}}, journal={{Global Journal of Management and Business Research}}, journal={{GJMBR}}2249-45880975-585310.34257/GJMBR, address={Cambridge, United States}, publisher={Global Journals Organisation}1871940 } @book{b0, , title={{}} , author={{ DanielRösch }} , year={2006} } @book{b1, , title={{An empirical comparison of default risk forecasts from alternative credit rating philosophies}} } @book{b2, , title={{}} , author={{ Adano SaladDansonmuyoki } and { Kadubo }} , year={2011} } @book{b3, , title={{The impact of credit risk management on the financial performance of banks in Kenya for the period}} , year={2000-2006} } @book{b4, , title={{Credit risk management and its impact on performance of Ethiopian commercial banks}} , author={{ Girmamekasha }} , year={2011} } @book{b5, , title={{}} , author={{ JasonPerry } and { PatrickFontnouvelle }} , year={2005} } @book{b6, , title={{Measuring reputation risk: the market reaction to operational loss announcements}} } @book{b7, , title={{Effectiveness of credit risk management of Saudi banks in the light of global financial crisis: A qualitative study}} , author={{ AbdelrahimKhalil Elian }} , year={2013} } @book{b8, , title={{}} , author={{ KleopatraNikolaou }} , year={2009} } @book{b9, , title={{Liquidity (risk) concepts, definition and interactions}} } @book{b10, , title={{Credit risk management and commercial banks performance in Nigeria: A panel model approach}} , author={{ TKolabo } and { Funso }} , year={2012} } @book{b11, , title={{The impact of effective credit risk management on banks survival}} , author={{ KosmasNjanike }} , year={2009} } @book{b12, , title={{Strategic risk: It's all in your head}} , author={{ NeilAllan } and { LouiseBeer }} , year={2006} } @book{b13, , title={{}} , author={{ PNTegwi }} , year={2010} , note={Banking for professionals 1st Edition} } @book{b14, , title={{Bank management and financial services 8th Edition}} , author={{ SPeter } and { CRose & Sylvia } and { Hudgins }} , year={2010. 2007} 326273 441521 } @book{b15, , title={{The impact of credit risk management on financial performance of commercial banks in Nepal}} , author={{ RaviPrakashshama }} , year={2012} } @book{b16, , title={{Performance risk in banking: A comparative study for Egypt and Lebanon}} , author={{ SimonSam } and { Neamie }} , year={1998} } @book{b17, , title={{Credit risk management: Basic concepts: financial risk components, rating analysis, models, economic and regulatory capital}} , author={{ TonyVan Gestel } and { BartBaesens }} , year={2009} } @book{b18, , title={{Market risk management}} , author={{ AaronHou }} , year={2005} } @book{b19, , title={{Banking: An introduction}} , author={{ Ap Faure }} , year={2013} } @incollection{b20, , title={{}} , journal={{BICEC Annual Reports}} , year={2008-2011} } @book{b21, , title={{Federal Reserve Bank}} , year={2013} , note={list of US largest banks} } @incollection{b22, , title={{}} , journal={{Global Association of Risk Professionals}} , note={GARP} } @book{b23, , title={{}} , author={{ GrantTurner }} , year={2012} } @book{b24, , title={{The Chinese banking system}} } @book{b25, N°13/146 , title={{IMF Country Report}} , year={February 2009. May 2013} 22 , note={IMF Country Report} } @incollection{b26, , title={{}} , journal={{International Journal of Business}} 2 6 , year={October 2012} , note={Humanities and Technology} } @incollection{b27, , title={{}} , journal={{PWC}} , year={2011} } @book{b28, , title={{Ghana banking survey}} } @incollection{b29, , title={{}} , journal={{Research Journal of Finance and Accounting}} 4 16 , year={2013} } @book{b30, , title={{}} , author={{ SaharNasr }} , year={2012} } @book{b31, , title={{Egyptian banking system}} } @incollection{b32, , title={{}} , journal={{The China Regulatory Commission Report}} , year={2012} }