Рискът в банковата сфера – необходимост от идентифициране и управление
The risk in the banking – need to identify and manage
Author(s): Maria Vidolova, Angel GeorgievSubject(s): Economy, Business Economy / Management, Financial Markets
Published by: Софийски университет »Св. Климент Охридски«
Keywords: risk; standards; banks ; European experience
Summary/Abstract: The article examines the essence and main elements of risk on banking, history and evolutionin the standards governing the management of the risk. The legal base regulation risk managementin banking institution goes a long evolution. The authors made the comparative analysis on the basic principles in the development of international standarts Bazel I, Basel II and the new Basel III, and the process of change and upgrade as the general framework and in the implementation of these principles in local practices.
Journal: Годишник на Стопанския факултет на СУ „Св. Климент Охридски“
- Issue Year: 11/2013
- Issue No: 1
- Page Range: 51-64
- Page Count: 14
- Language: Bulgarian