Методология анализа банковских рисков
Închide
Articolul precedent
Articolul urmator
495 0
SM ISO690:2012
БАЛИНА, Ирина. Методология анализа банковских рисков. In: Securitatea informaţională, Ed. 6, 20-21 mai 2009, Chișinău. Chisinau, Moldova: Departamentul Editorial-Poligrafic al ASEM, 2009, Ediția 6, pp. 77-80. ISBN 978-9975-75-459-0.
EXPORT metadate:
Google Scholar
Crossref
CERIF

DataCite
Dublin Core
Securitatea informaţională
Ediția 6, 2009
Conferința "Securitatea informaţională"
6, Chișinău, Moldova, 20-21 mai 2009

Методология анализа банковских рисков


Pag. 77-80

Балина Ирина
 
Славянский университет, Республика Молдова
 
 
Disponibil în IBN: 17 mai 2019


Rezumat

In work definition of bank risk is made, classification is considered. Examples of carrying out of calculations of operational risk by 2 methods - estimations on the basis of expected cases of losses and an estimation of a deviation of standard results are presented.

Dublin Core Export

<?xml version='1.0' encoding='utf-8'?>
<oai_dc:dc xmlns:dc='http://purl.org/dc/elements/1.1/' xmlns:oai_dc='http://www.openarchives.org/OAI/2.0/oai_dc/' xmlns:xsi='http://www.w3.org/2001/XMLSchema-instance' xsi:schemaLocation='http://www.openarchives.org/OAI/2.0/oai_dc/ http://www.openarchives.org/OAI/2.0/oai_dc.xsd'>
<dc:creator>Balina, I.</dc:creator>
<dc:date>2009</dc:date>
<dc:description xml:lang='en'><p>In work definition of bank risk is made, classification is considered. Examples of carrying out of calculations of operational risk by 2 methods - estimations on the basis of expected cases of losses and an estimation of a deviation of standard results are presented.</p></dc:description>
<dc:source>Securitatea informaţională (Ediția 6) 77-80</dc:source>
<dc:title>Методология анализа банковских рисков</dc:title>
<dc:type>info:eu-repo/semantics/article</dc:type>
</oai_dc:dc>