£76.00

AMÉLIORATION DE LA MÉTHODOLOGIE DE GESTION DU RISQUE DE CRÉDIT PAR LES BANQUES COMMERCIALES: Cette monographie est consacrée à une analyse approfondie des fondements théoriques et méthodologiques

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Description

Cette monographie est consacrée à une analyse approfondie des fondements théoriques et méthodologiques de la gestion du risque de crédit dans les banques commerciales et à l'amélioration des mécanismes de gestion efficaces conformément aux pratiques bancaires modernes. L'étude couvre systématiquement l'essence, les types et les facteurs qui causent les risques de crédit, et révèle scientifiquement la relation entre la qualité du portefeuille de crédit et la stabilité de la banque. La monographie analyse en profondeur les pratiques bancaires internationales, en particulier les approches basées sur le risque, les modèles modernes d'évaluation du risque de crédit (scoring, rating, stress testing), et l'importance des normes prudentielles.

Product Specifications

Format
paperback
Domain
Amazon UK
Release Date
09 April 2026
Listed Since
11 April 2026

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