Data Analytics for Management, Banking and Finance: Theories and Application
1. A Survey of Machine Learning Methodologies for Loan Evaluation in Peer-to-peer (P2P) Lending -- 2. Explainable Machine Learning Models for Credit Risk Analysis: A Survey -- 3. Data Analytics Incorporated with Machine Learning Approaches in Finance -- 4. Estimation and Inference in Financial Volatility Networks -- 5. Multiresolution Data Analytics for Financial Time Series Using MATLAB -- 6.A Risk-Based Trading System using Algorithmic Trading and Deep Learning Models -- 7. Financial Contagion During COVID-19: Intraday Analysis with VAR-VECM Models -- 8. Nonlinear ARDL Analysis of Real Effective Exchange Rate's Asymmetric Impact on FDI Inflows in Tunisia -- 9. Evaluating Turkish Banks' Complaint Management Performance using Multi-Criteria Decision Analysis -- 10. Financial Cycle, Stress, and Policy Roles in Small Open Economy: Spillover Index Approach -- 11. Performance of Cryptocurrencies under a Sentiment Analysis Approach in the Time of COVID-19 -- 12. Determinants of Non-Performing Loans: Evidence from Indian Banks -- 13. Natural Resources, Conflicts, Terrorism, and Finance: Insights from a Descriptive Data Analysis -- 14. Determinants of Profitability in Islamic Banks: The Kingdom of Saudi Arabia Market -- 15. Trading Rules and Value at Risk: Is there a linkage?