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Ultima descărcare din IBN: 2024-04-13 17:57 |
Căutarea după subiecte similare conform CZU |
336.71:005.52:005.334 (2) |
Money. Monetary system. Banking. Stock exchanges (774) |
Management operations. Direction (301) |
Management activities (431) |
SM ISO690:2012 COCIUG, Victoria, POSTOLACHE (DOGOTARI), Victoria. Abordarea integrată a sistemelor de monitorizare a riscurilor bancare. In: Center for Studies in European Integration Working Papers Series, 2017, nr. 4, pp. 12-20. ISSN -. |
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Center for Studies in European Integration Working Papers Series | ||||||
Numărul 4 / 2017 / ISSN - /ISSNe 2537-6187 | ||||||
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CZU: 336.71:005.52:005.334 | ||||||
Pag. 12-20 | ||||||
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The study of essentially banking risks was the basis to note that the risk is the historical category that requires understanding when making a decision in a certain situation in the presence of an alternative, which does not give confidence in obtaining a positive result after the implementation of the decision. Maintenance of a banking institution, must be put to a number of principles: awareness of risk-taking, handling, consistency, comparability of the level of exposure to the level of profitability of operations and its financial capacity of the bank, management efficiency, time-based operations and benchmarks banking strategy, accounting risk transfer opportunities. |
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Cuvinte-cheie banking risks, financial crisis, banking strategy, bank monitoring, BASEL III. |
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