PRINCIPII DE MODELARE A RISCULUI BĂNCII COMERCIALE

dc.contributor.authorEnicov, Igor
dc.date.accessioned2020-04-28T17:24:18Z
dc.date.available2020-04-28T17:24:18Z
dc.date.issued2007
dc.description.abstractIn the present article, the author has analyzed the risk from the point of view of its interpretations. Thus, at the moment, due to the necessity of the determination of risk factors and the possible influences over the studied event, each economic agent applies research projects and risk administration. The subject matter discussed, is very important for the commercial banks, and has as the major aim to attract and distribute financial resources which assumes an amount of risks. The author describes some principles of commercial banks’ risks shaping, in order to correlate the incomings and out comings bank flows, the time limits of pulling and repayment of the financial resources, and others.en
dc.identifier.citationENICOV, Igor. Principii de modelare a riscului băncii comerciale. In: Studia Universitatis Moldaviae. Seria Științe exacte și economice: Matematică. Informatică. Fizică. Economie. Revistă științifică. 2007, nr.8 (08), pp. 213 - 217. ISSN 1857-2073en
dc.identifier.issn1857-2073
dc.identifier.urihttp://studiamsu.eu/nr-8-08-2007/
dc.identifier.urihttps://msuir.usm.md/handle/123456789/2739
dc.language.isoroen
dc.publisherCEP USMen
dc.subjectbănci comercialeen
dc.titlePRINCIPII DE MODELARE A RISCULUI BĂNCII COMERCIALEen
dc.typeArticleen

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