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![]() POSTOLACHE (DOGOTARI), Victoria, CURAC, Andrei. Risc-managementul în procesul gestiunii corporative a activităţii bancare. In: Asigurarea viabilităţii economico-manageriale pentru dezvoltarea durabilă a economiei regionale în condiţiile integrării în UE, 15-16 septembrie 2017, Bălți. Balti, Republic of Moldova: Universitatea de Stat „Alecu Russo" din Bălţi, 2018, pp. 292-295. ISBN 978-9975-50-215-3. |
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Asigurarea viabilităţii economico-manageriale pentru dezvoltarea durabilă a economiei regionale în condiţiile integrării în UE 2018 | ||||||
Conferința "Asigurarea viabilităţii economico-manageriale pentru dezvoltarea durabilă a economiei regionale în condiţiile integrării în UE" Bălți, Moldova, 15-16 septembrie 2017 | ||||||
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Pag. 292-295 | ||||||
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The current period is called the ―risk management era‖ in banks, and risk management is an extremely complex and important task of banking management. The issue of risk arises from the fact that we live in a civilization of risk. The complexity and diversity of bank risks has been on the rise in recent years due to increased competition between banks due to the increase in international financial markets and due to the increasing number of financial products and services. Changes that have taken place in the financial and banking markets in recent years have led to major changes in risk within the bank. |
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Cuvinte-cheie risk management, banking risk, corporate governance, banking activity |
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DataCite XML Export
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