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Finance and Credit
 

Tools of management of the portfolio of problem credits in modern conditions

Vol. 17, Iss. 4, JANUARY 2011

Available online: 24 January 2011

Subject Heading: BANK ACTIVITY

JEL Classification: 

Platonova Y.Y. candidate of economic science, Senior Lecturer of chair «of economic Analysis, Statistics and Finance», Kuban State University
platik@kubannet.ru

Zaychenko S.E. the student of economic faculty, specialties «the Finance and the credit», Kuban State University
zajchenko.svetlana@yandex.ru

The topic of the conducted research is the basic schemes of work with problematic assets that exist in the world practice. It suggests the classification of tools used to manage delayed credit debts as well as comparative analysis of their efficiency. In the research the main flaws of existing system of managing the problematic debts' settlement are also defined. It also discusses the ways of improving the system from the standpoint of external institutional and internal bank factors based on the foreign countries' experience.

Keywords: bank, management, system, tool, credit portfolio, problematic credit, factor

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ISSN 2311-8709 (Online)
ISSN 2071-4688 (Print)

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