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Daniel Mokatsanyane
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Year
Credit risk and securitisation in the South African banking sector
D Mokatsanyane, PF Muzindutsi, D Viljoen
Danubius University, 2017
82017
Evaluating the credit risk and macroeconomic interaction in South African Banks
S Khumalo, S Ferreira-Schenk, JJ Van Rensburg, D Mokatsanyane
Acta Universitatis Danubius. Œconomica 17 (5), 2021
32021
Analysing Volatility during Extreme Market Events Using the Mid Cap Share Index
SM Selemela, S Ferreira, D Mokatsanyane
Economica 17 (3), 229-249, 2021
22021
The relationship between political risk, credit risk and profitability in the South African banking sector
D Mokatsanyane
North-West University (South Africa), Vaal Triangle Campus, 2016
22016
Examining Macroeconomic variables on Credit risk in the South African Banking System
D Mokatsanyane, L Stiglingh
Acta Universitatis Danubius. Œconomica 19 (6), 18-30, 2023
2023
Examining Macroeconomic variables on Credit risk in the South African Banking System.
L Stiglingh, D Mokatsanyane
Acta Universitatis Danubius: Œconomica 19 (6), 2023
2023
Analysing the Relationship between Financial Technology and Commercial Banks' Financial Performance in South Africa
DK Tshukudu, D Mokatsanyane, S Ferreira-Schenk, JGJ van Rensburg, ...
Acta Universitatis Danubius. Œconomica 18 (6), 2022
2022
Analysing Interest Rate and Exchange Rate Volatility on South African Banks' Stock Returns Considering the COVID-19 Pandemic
L Reabetswe, D Mokatsanyane, S Ferreira-Schenk, JJ van Rensburg, ...
Acta Universitatis Danubius. Œconomica 18 (6), 2022
2022
Tracking the Performance of Listed Shares: A Comparison Between JSE Single-and Dual-listed Shares
M Muller, S Ferreira-Schenk, JGJ van Rensburg, D Mokatsanyane, ...
International Journal of Economics and Financial Issues 12 (6), 145-154, 2022
2022
The Impact of Covid-19 on the Performance of Hedge Funds Compared to Mutual Funds in South Africa
TP Muridili, R Sgammini, S Ferreira-Schenk, JGJ van Rensburg, ...
International Journal of Economics and Financial Issues 12 (6), 133, 2022
2022
Volatility forecasting during extreme market events using the (JSE) small cap share index
SM Selemela, S Ferreira, D Mokatsanyane
Acta Universitatis Danubius. Œconomica 17 (4), 2021
2021
Volatility forecasting in small and mid-cap shares using EWMA and GARCH (1, 1) models
SM Selemela
North-West University (South Africa), 2021
2021
The Relationship between Regulation and Solvency Risk for the Top Five South African Banks
SN Tafara, D Mokatsanyane, Z Dickason-Koekemoer
Acta Universitatis Danubius. Œconomica 16 (6), 2020
2020
Risk and Regulation for the Soundest Banking Systems in the World
TS Nasa, D Mokatsanyane, Z Dickason-Koekemoer
Acta Universitatis Danubius. Œconomica 16 (5), 2020
2020
Evaluating perceptions of ethics risk in a South African government organisation
S Ferreira, N Mokoke, D Mokatsanyane
Acta Universitatis Danubius. Administratio 12 (2), 2020
2020
Strict banking regulations: Measuring the impact on bank risk
TS Nasa
North-West University (South Africa), 2020
2020
The value of economic capital as an indicator to protect prospective and existing ordinary shareholders
TD Chonzi
Rhodes University, 2019
2019
Evaluating the Credit Risk and Macroeconomic Interaction in South African Banks
DM Rensburg
Five South African Banks
TS Nasa, D Mokatsanyane, Z Dickason-Koekemoer
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Articles 1–19