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Finance and Credit
 

Estimation of a credit portfolio for the purpose of maintenance stability of bank sector of region

Vol. 17, Iss. 25, JULY 2011

Available online: 30 June 2011

Subject Heading: Banking

JEL Classification: 

Aliev B.H. doctor of the economic sciences, managing chair of the taxes and money circulation department of Daghestan State University
fef2004@yandex.ru

Idrisova S.K. candidate of the economic sciences, professor of the taxes and money circulation department of Daghestan State University
salyhat1@rambler.ru

Rabadanova D.A. candidate of economic sciences, associate professor of the finance and insurance department of Dagestan State University
salyhat1@rambler.ru

In article the review of approaches to definition of concept of a credit portfolio is led, shown, that in them set of factors (risk, profitableness and liquidity), making on its direct impact is not considered. The estimation of a credit portfolio on zones of credit risk for the purpose of maintenance of stability of bank sector of region is given.

Keywords: credit portfolio, bank, the loan, actives, risk, liquidity, profitableness, stability, banking

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

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