METHODS OF ANALYZING AND ESTIMATING CREDIT RISK OF THE BANK IN THE RUSSIAN FEDERATION
Regulating the risk of credit portfolio is a major direction of efficient management of the bank's credit work. The principle goal of the process of credit portfolio management is ensuring maximum profitability at a certain level of risk. Qualitative and quantitative assessment of credit portfo...
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Format: | article |
Langue: | RU |
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Plekhanov Russian University of Economics
2017
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Accès en ligne: | https://doaj.org/article/e4a470bd4e23406e80c1178cd106b016 |
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