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Ultima descărcare din IBN: 2021-05-14 16:16 |
Căutarea după subiecte similare conform CZU |
336.717 (58) |
Money. Monetary system. Banking. Stock exchanges (787) |
SM ISO690:2012 ЗЛАТОВА, Светлана. Методы управления кредитным портфелем банка. In: Ştiinţă, educaţie, cultură , 9 februarie 2018, Comrat. Comrat: Universitatea de Stat din Comrat, 2017, Vol.2, pp. 56-60. ISBN 978-9975-83-057-7. |
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Ştiinţă, educaţie, cultură Vol.2, 2017 |
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Conferința "Ştiinţă, educaţie, cultură" Comrat, Moldova, 9 februarie 2018 | ||||||
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CZU: 336.717 | ||||||
Pag. 56-60 | ||||||
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The methods of managing the bank's loan portfolio are considered. The loan portfolio of the bank - through a prism of neutralizing the risks of concentration of assets and liabilities. It is noted that safe and effective risk management assumes an effective use of the mechanism for neutralizing the risks of the loan portfolio through the use of a set of methods for diversifying risks. |
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Cuvinte-cheie credit, credit portfolio, credit risk, risk management techniques |
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