Application of regression function model based on panel data in bank resource allocation financial risk management
, e
22 nov 2021
INFORMAZIONI SU QUESTO ARTICOLO
Pubblicato online: 22 nov 2021
Pagine: 181 - 192
Ricevuto: 17 giu 2021
Accettato: 24 set 2021
DOI: https://doi.org/10.2478/amns.2021.2.00056
Parole chiave
© 2021 Tonghui Ji et al., published by Sciendo
This work is licensed under the Creative Commons Attribution 4.0 International License.
Ji, Tonghui
School of Finance, Chongqing Finance and Economics CollegeChongqing, China
Khadidos, Alaa Omar
Information Systems, Faculty of Computing and Information Technology, King Abdulaziz UniversityJeddah, Saudi Arabia
Abo Keir, Mohammed Yousuf
Applied Science UniversityAl Eker, Kingdom of Bahrain