Risk adjusted return on capital in credit risk management in a bank

被引:0
|
作者
Gwizdala, Jerzy P. [1 ]
机构
[1] Uniwersytet Gdanski, Katedra Finansow Wydzia Zarzadzania, Sopot, Poland
来源
关键词
financial crisis; credit risk; risk measure; capital; management; identification of risk; control; rentability;
D O I
10.7172/1644-9584.42.10
中图分类号
C93 [管理学];
学科分类号
12 ; 1201 ; 1202 ; 120202 ;
摘要
The activity in conditions of credit risk has a specific place in each banks' performance. There is no way of imagining bank's functioning on financial services market without its stable development. Moreover, credit capacity and, related with it, credit risk mitigation must be based on trust. The questioning of this principle and its non-compliance may easily lead to credit risk increase and consequently to threat of the whole system and separate banks destabilization. The aim of proper credit risk management is to identify, measure, control and monitor. A bank, which has risk management systems implemented, presents higher value for the stockholders.
引用
收藏
页码:161 / 176
页数:16
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