Журнал «Economics» выходит раз в два месяца, ориентировочно 10 числа (ежемесячно уточняется).
Следующий номер журнала № 1(53) 2024 г.
Выйдет - 30.04.2024 г. Статьи принимаются до 29.04.2024 г.
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... of the bank's loan portfolio. It describes how a risk manager monitors the stability, profitability and economic stability of a credit institution by calculating financial ratios. The author presents the ...
... risk can arise for each individual loan provided by the bank, or over the entire loan portfolio of the bank (aggregate credit risk). Therefore, it is important for the bank to develop a credit policy - ...
... и оценки риска при инвестировании.
Abstract: this article describes the features of the formation and management of investment portfolio. It noted the basic principles of the portfolio, as well as the ...
... determinants of NPLs in Greece: A comparative study of mortgage, business and consumer loan portfolios. Working Paper. № 118, Bank of Greece.
Makri Vasiliki, Tsagkanos Athanasios and Belles Athanasios. ...
(Математические и инструментальные методы экономики)
... management decision, whether it is the acquisition of a new business, finding investors, changing the composition of owners or management of a portfolio of securities. The article considers the role of ...
(Математические и инструментальные методы экономики)
... Г.Е. Обобщенные функции и действия над ними. Том I. М.: Добросвет, 2000. 412 c..
Russell T. Continuous time portfolio theory and the Schwartz-Sobolev theory of distributions // Operations Research Letters, ...