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SM ISO690:2012 BEJENARI, Leonid. Gestiunea riscului valutar în sistemul bancar din Republica Moldova la etapa actuală. In: Perspectivele şi problemele integrării în Spaţiul European al Învățământului superior, Ed. 1, 5 iunie 2014, Cahul. Cahul, Republica Moldova: Tipografia Centrografic, 2014, Vol.2, pp. 87-92. ISBN 978-9975-914-92-5. |
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Perspectivele şi problemele integrării în Spaţiul European al Învățământului superior Vol.2, 2014 |
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Conferința "Perspectivele şi problemele integrării în Spaţiul European al Învățământului superior" 1, Cahul, Moldova, 5 iunie 2014 | ||||||
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This article present an analisys of management of currency risk in banking system of Republic of Moldova. Because all the banks maintain correspondent banking relationships with foreign banks lend and borrow in foreign currency and supports customer transactions denominated in foreign currencies, it is prone to currency risks. A review of the currency mismatch schedule indicated that the banks had positive net open currency positions for all its currencies during last years. Also all the contribution of the currencies in the assets of the bank adequately covered the contribution of the currencies to the liabilities. The currency structure of the bank„s loans and deposits were also encouraging as its funding capacity provided by the deposit base in the various currencies exceeded its loan portfolio in the various currencies significantly. |
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