IMPROVEMENT OF THE EVALUATION OF THE LEVEL OF RISK OF THE CREDIT PORTFOLIO OF A COMMERCIAL BANK
СОВЕРШЕНСТВОВАНИЕ ОЦЕНКИ УРОВНЯ РИСКА КРЕДИТНОГО ПОРТФЕЛЯ КОММЕРЧЕСКОГО БАНКА
Garina Irina (Гарина, И. С.)
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Garina Irina (Гарина, И. С.): Leningrad state University V. im. Alexander Pushkin, Yaroslavl branch
State and Municipal Management Scholar Notes, 2018, vol. 1, 63-69
Abstract:
The article considers theoretic aspects of risks of commercial banks, methods of the evaluation of credit risks; it analyses the level, quality of the credit portfolio and the credit risk, problems of its evaluation on the example of the commercial bank JSC “Raiffeisenbank” and on the base of the results obtained the directions of the improvement of the methods of evaluating the level of the risk of credit portfolio of the joint – stock company “Raiffeisenbank” are offered.
Keywords: credit risk; bank; credit portfolio; management of credit risk; methods and indices of the evaluation of risks. (search for similar items in EconPapers)
Date: 2018
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Persistent link: https://EconPapers.repec.org/RePEc:rnp:smmscn:s1819
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