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Finance and Credit
 

Approaches to definition of level of problem debt in bank

Vol. 19, Iss. 44, NOVEMBER 2013

Available online: 4 December 2013

Subject Heading: Banking

JEL Classification: 

Mitrokhin V.V. PhD in Economics, Professor, the Department of Finance and Credit, the Mordovian State University named after N.P. Ogaryov
mitrokhin_vlad@mail.ru

Stukalov V.V. Graduate Student, the Department of Finance and Credit, the Mordovian State University named after N.P. Ogaryov
stukalovvv@rambler.ru

In the article it is noted that in connection with the crisis phenomena relevance of the questions connected with the organization of work of banks with problem debt significantly increases in world economy. Practical approaches to definition of level of problem debt in bank are considered, their main advantages and shortcomings are opened, availability of initial financial information to external users is estimated.

Keywords: problem debt, arrears, category of quality of the loan, reserves on possible losses

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

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