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pro vyhledávání: '"Oana Miruna DĂNILĂ"'
Autor:
Oana Miruna DĂNILĂ
Publikováno v:
Theoretical and Applied Economics, Vol XIX, Iss 6, Pp 121-134 (2012)
The Banking sector risk management framework, geared towards maintaining a solid capital adequacy level, has witnessed a permanent evolution, determined by the global economic and financial reality. Basel II has brought an improvement of the risk man
Externí odkaz:
https://doaj.org/article/63300a0ac44f4740b7ff64a1f1602a31
Autor:
Oana Miruna DĂNILĂ
Publikováno v:
Theoretical and Applied Economics, Vol XIX, Iss 3, Pp 77-90 (2012)
Credit risk represents one of the most critical risks associated with the banking sector, having a direct impact on the banking institutions’ overall performance. As of today, such institutions can access a wide range of methods and systems for ass
Externí odkaz:
https://doaj.org/article/7980868da854457b9add9b7c70f57840