Publication:
Kлассификация банковских рисков

cris.sourceIdoai:irek.ase.md:123456789.1/62
dc.creatorКасевич, Ольга
dc.date2021-07-01T08:47:14Z
dc.date2021-07-01T08:47:14Z
dc.date2021-03
dc.date.accessioned2023-11-13T20:51:51Z
dc.date.available2023-11-13T20:51:51Z
dc.descriptionКАСЕВИЧ, Ольга. Kлассификация банковских рисков = Classification of bank risks. In: Provocările contabilităţii în viziunea tinerilor cercetători: Conf. şt. intern. studenţească, ISSC 2021: Culegere de articole ştiinţifice, Ed. a 5-a, 11-12 martie 2021. Chişinău: ASEM, 2021, pp. 365-368. ISBN 978-9975-155-12-0.
dc.descriptionDespite the fact that risk management is one of the most relevant areas of management in commercial banks, there are no unambiguous approaches to the concept and content of risks of credit institutions in the theoretical literature. One of the controversial issues is the classification of banking risks. The existing approaches to the classification of banking risks, formulated by scientists, regulatory authorities and commercial structures, give reason to believe that to date the banking community is not on the same and scientifically sound positions on this issue. JEL: G320
dc.formatapplication/pdf
dc.identifier978-9975-155-12-0
dc.identifierhttp://irek.ase.md:80/xmlui/handle/123456789.1/62
dc.identifier.urihttps://cris.ase.md/handle/123456789/4504
dc.languageother
dc.publisherASEM
dc.subjectbank risk
dc.subjectthe amount of risk
dc.subjectthe level of risk
dc.subjectthe classification of bank risks
dc.titleKлассификация банковских рисков
dc.titleClassification of bank risks
dc.typeArticle
dspace.entity.typePublication
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