POLITICI DE GESTIONARE A RISCULUI FINANCIAR LA
RAIFFEISEN BANK ROMÂNIA
POLICIES MANAGEMENT OF FINANCIAL RISK AT RAIFFEISEN BANK- ROMANIA
Author(s): I. Gabriel Năstase, Alina StoianSubject(s): Financial Markets
Published by: Universitatea Crestina "Dimitrie Cantemir"
Keywords: development; bank; risk; management; business environment;
Summary/Abstract: When they define risk and risk management, most authors focus on classical function of banks, by intermediation in area of financial risks from their division; from this point of view the problem is treated especially of unexpected losses in banking assets, losses caused by market risks, credit or liquidity.
Journal: Revista Univers Strategic
- Issue Year: VIII/2017
- Issue No: 32
- Page Range: 65-94
- Page Count: 30
- Language: Romanian