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dc.contributor.authorХарабара, Віолетта
dc.contributor.authorГрешко, Роман Ігорович
dc.date.accessioned2023-11-20T13:15:31Z
dc.date.available2023-11-20T13:15:31Z
dc.date.issued2023
dc.identifier.issn2719-6410
dc.identifier.urihttps://archer.chnu.edu.ua/xmlui/handle/123456789/7891
dc.description.abstractIn the article the actuality of the methods of credit risk management system was grounded. The essence of the credit risk was specified, the methods and instruments of management of credit risks were considered as at the level of a separate loan so at the level of created by a bank credit portfolio.uk_UA
dc.description.sponsorshipкафедра фінансів і кредитуuk_UA
dc.language.isoenuk_UA
dc.publisherХарабара, В., Ткач, І., Грешко, Р., & Харабара, В. (2023). Методи та інструменти управління кредитним ризиком у банках. Журнал політичних наук і досліджень безпеки , 4 (1), 17-24.uk_UA
dc.subjectcredit riskuk_UA
dc.subjectbanking systemuk_UA
dc.subjectbanksuk_UA
dc.subjectcredit activityuk_UA
dc.subjectrisk indicatorsuk_UA
dc.subjectfinancial marketuk_UA
dc.titleMethods and instruments of credit risk management inbanksuk_UA
dc.title.alternativeМетоди та інструменти управління кредитним ризиком у банкахuk_UA
dc.typeArticleuk_UA


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