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dc.contributor.authorAlhassan Abdul-Mumin-
dc.contributor.authorSolovjeva, N. E.-
dc.contributor.authorBykanova, N. I.-
dc.date.accessioned2021-05-31T12:03:35Z-
dc.date.available2021-05-31T12:03:35Z-
dc.date.issued2018-
dc.identifier.citationAlhassan Abdul-Mumin. The analysis of the system of monitoring and forecasting of banking risks / Alhassan Abdul-Mumin, N.E. Solovjeva, N.I. Bykanova // Научный результат. Сер. Экономические исследования. - 2018. - Т.4, №4.-С. 66-72.ru
dc.identifier.urihttp://dspace.bsu.edu.ru/handle/123456789/40897-
dc.description.abstractThe article describes the types of risks and describes the main goals and objectives of the bank’s risk management system. Bringing banking risks into the system and analyzing coefficients and indicators of credit risk make it possible to better structure the bank’s work to minimize riskru
dc.language.isoenru
dc.subjecteconomyru
dc.subjectfinanceru
dc.subjectbankru
dc.subjectсommercial banksru
dc.subjectcredit riskru
dc.subjectcredit risk managementru
dc.subjectmonitoring credit risksru
dc.subjectmarketru
dc.subjectBasel committeeru
dc.titleThe analysis of the system of monitoring and forecasting of banking risksru
dc.typeArticleru
Appears in Collections:Т. 4, вып. 4

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