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Baesens B.Setiono R.Mues C.Vanthienen J.
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49 (3) : 312 -329.
Nathan A.
Thibeault A.
2003. An illustration in the teaching of financial and risk management in commercial banks. Financieel Economisch Magazine Nyenrode.
6 (3)
Thibeault A.
2002. Credit risk management: from individual risks to portfolio risk. Fiducie.
(Spring) The University of Amsterdam.
Verbeke W.
Van Kenhove P.
2002. Impact of emotional stability and attitude on consumption decisions under risk. Journal of Health Communication.
7 (4) : 455 -472.
Thibeault A.
2001. Financial Risk management. Fiduciair.
Universiteit Nyenrode.
Cornelius P.
2000. Trade in Financial Services, Capital Flows, and the Value-at-Risk of Countries. The World Economy.
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Thibeault A.
1998. Credit risk management: from individual risks to portfolio risk. PECUNIA Magazine.
(Summer) Erasmus Universiteit Rotterdam.
Thibeault A.
1996. Modelisation of Bank Risk Management. Revue de la Banque/Bank- en Financiewezen.
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1994. The Future of Risk Education- Future trends in risk management: A European Perspective. Risk Management.
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Books
Van Gestel T.Baesens B.
2009. Credit risk management: basic concepts: financial risk components, rating analysis, models, economic and regulatory capital. Oxford University Press.
Thibeault A.
2003. Bank Financial Risk Management: Twelve on-line modules. The Institute of Canadian Bankers.
Book Chapters
Verweire K.Van den Berghe L.A.A.
2004. Managing Risk, Managing Value.
In Verweire, K. & Van den Berghe, L.A.A. (Eds.). Integrated Performance Management: A guide to strategy implementation. 69 -84. Sage Publications.
Baesens B.Setiono R.Mues C.Viaene S.Vanthienen J.
2001. Building intelligent credit-risk evaluation expert systems using neural network rule extraction and decision tables.
In Vandenbulcke, J., Snoeck, M.. New directions in software engineering. 12 p. Universitaire Pers Leuven.
Cornelius P.Schwab K.
2001. Sustainability, Vulnerability, and Risk Management.
In Ghosh, B.N. (Ed.). Global Financial Crises and Reforms. Cases and Caveats. 356 -375. Routledge.
Working papers
Willekens M.Vander Bauwhede H.
2004. Auditor reporting conservatism as a defence mechanism against increased post-Enron litigation risk. Research report 0419, KU Leuven.
Cornelius P.
2000. Reforming the Public Sectors Risk Management in Emerging Markets. Development Discussion Paper No. 751. Harvard University, Harvard Institute for International Development. February 2000.
Joos P.
1994. Comparison between market determined and accounting determined measures of risk: an empirical assessment for the non-financial firms listed on the Brussels stock exchange. (3) : 35 p. Universiteit Gent-Faculteit Economische en Toegepaste Economische Wetenschappen.
Reports
Van den Berghe L.A.A.Baeten X.
1995. Onderzoek naar de relevante evaluatiefactoren bij de besluitvorming inzake risk management en verzekering: determinanten van het keuzeproces inzake toeleveranciers. 11 p. VSM, feb. 1995.
Vereecke A.Boeykens D.Pandelaere E.Hatem J.Vreys E.
2009. The development of a simulation tool for Supply Chain Risk Assessment. Paper presented at the 2009 POMS (Production and Operations Management Society) Conference, Orlando (US), May 1-4.
Prahinski C.Kocabasoglu C.Klassen R.
2007. Investments in launching new products: the role of organizational risk propensity and stakeholders in program performance. 3421 -3426. Decision Sciences Institute (Proceedings), Phoenix, AZ.
Baesens B.
2006. Developing interpretable data mining decision models for credit risk. Saïd Business School, Oxford United Kingdom, June 29.
Setiono R.Baesens B.Mues C.
2006. Risk management and regulatory compliance: a data mining framework based on neural network rule extraction. 71 -85. Proceedings of the International Conference on Information Systems (ICIS 2006), Milwaukee, Wisconsin. Best Paper Design Track.
Willekens M.Vander Bauwhede H.
2004. Auditor reporting conservatism as a defence mechanism against increased post-Enron litigation risk. American Accounting Association Midyear Auditing Section Conference, January 15-7, Clearwater, Florida, US.
Joos P.
1994. The comparison between market determined and accounting determined measures of risk : An empirical assessment for the non-financial firms listed at the Brussels stock exchange. 247 p. The 17th Annual Congress of the European Accounting Association, Venice, Italy, April 6-8, 1994.
Van den Berghe L.A.A.
1991. New developments in risk management. 13 p. Proceedings Conference University of Toyama, November 1991.