Assessing the Portfolio of Bank Guarantees by Specific Indicators for Determining Risks
This paper, entitled “Assessing the portfolio of bank guarantees by using specific indicators fordetermining risks”, deals with the determination, measurement and management of risks and aimsat assessing the quality of the portfolio of guarantees, by specific indicators for determining risks. Il als...
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Format: | Article |
Language: | English |
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Ovidius University Press
2016-01-01
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Series: | Ovidius University Annals: Economic Sciences Series |
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Online Access: | http://stec.univ-ovidius.ro/html/anale/ENG/2016/2016-I-full/Section-V/22.Nancu_Dumitru1.pdf |