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Investment approach for credit risk management in commercial banks

Vol. 17, Iss. 9, MARCH 2011

Available online: 25 February 2011

Subject Heading: BANK SYSTEM

JEL Classification: 

Yashin S.N. Doctor of Economic Sciences, Professor, Head of the Innovation Activities' Management Department, Nizhniy Novgorod State Technological University named after R.E. Alekseev
rectorat@nntu.nnov.ru

Koshelev E.V. Ph.D. in Economics, Associate Professor, State and Municipal Management Faculty, Nizhniy Novgorod State University n.a. N.I. Lobachevsky
ekoshelev@yandex.ru

Chuhmanov D.V. Graduate Student, National Economics Faculty, Nizhniy Novgorod State, University n.a. N.I. Lobachevsky
chuhmanov_dv@mail.ru

The authors made investment approach for credit risk management in commercial banks that means default risk management and management of impute loss risk. Also authors conducted credit structural analysis of Russian companies using regional-sectoral indications.

Keywords: management, credit risk, commercial bank, investment approach

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

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