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CONSIDERATIONS ON BANKING RISK MANAGEMENT

Ionut Radu Ungureanu
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Ionut Radu Ungureanu: UNIVERSITY OF CRAIOVA

Annals - Economy Series, 2017, vol. 1Special, 234-239

Abstract: The scope of the thesis is the review of the main opinions from the specialty theory regarding the bank risks management. After the introduction one succinctly approaches the bank risk notion and subsequently the main characteristics of the bank risks management are synthesised, Section two being concluded by a few practical approaches regarding the risk management. The final part of the thesis catches the conclusions that outline the fact that the bank risks management becomes, thus, a competence and competitiveness test not only for each bank at a time but also for the achievement of a viable and performing bank system.

Keywords: bank risks; risk management; bank system; risk control; bank regulations (search for similar items in EconPapers)
Date: 2017
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