How optimal is bank credit risk reporting?
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2022-10-07 23:34
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MANAP, Ozgur, GUL, Hasan. How optimal is bank credit risk reporting? In: Competitivitatea şi inovarea în economia cunoaşterii, Ed. 21, 27-28 septembrie 2019, Chişinău. Chişinău Republica Moldova: Departamentul Editorial-Poligrafic al ASEM, 2019, Ediţia a 21-a , pp. 292-296. ISBN 978-9975-75-968-7.
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Competitivitatea şi inovarea în economia cunoaşterii
Ediţia a 21-a , 2019
Conferința "Competitivitate şi inovare în economia cunoaşterii"
21, Chişinău, Moldova, 27-28 septembrie 2019

How optimal is bank credit risk reporting?

JEL: E42, E43, E44

Pag. 292-296

Manap Ozgur, Gul Hasan
 
Çanakkale Onsekiz Mart University
 
 
Disponibil în IBN: 28 ianuarie 2020


Rezumat

Banks forming the heart of the financial system ful fill an important ask in the in this processone of the important thing is carefully determine credibility of the credit user swith a flexibility. So, to meet in optimal point of monetary policy practice sand banking system profits, risk parameter should be carefully investigated and rationaly determined. Consequently, it could be contributed to efficiency of financial markets. In this research, we have argued Turkish Banking System Credit Optimization With doing literature review.  

Cuvinte-cheie
banking system, finance, Bank credits, credibility, Risk