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Dauguma šiuolaikinių finansų valdymo ir investicijų mokslinių darbų akcentuoja finansinės rizikos valdymo svarbą finansinių institucijų veiklai. Augančioje finansų rinkoje aktyviais dalyviais tampa įmonės, kurių ilgalaikei sėkmei įtakos turi finansinių lėšų valdymas....
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This master’s paper provides the names of the risks which influence the performance of commercial banks. In this paper … Lithuanian and foreign authors. The analysis of the main performance indicators of Lithuanian commercial banks is represented in … often named as the main source of the credit’s risk. The diversification of Lithuanian commercial banks’ loans portfolios is …
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– functional dependence exists between market interest rate changes and commercial bank’s net interest income. …
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In this master's work analyze the quality of service in the bank’s problem. The material of the foreign authors and … performed the analysis of the banks of the quality of accommodation services and loyalty of customers provided by commercial … banks and the forming of the model of customer loyalty. There does not prove a hypothesis formulated by the authors that the …
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commercial banks; formed liquidity risk control of the problems in commercial banks and summarized used methods controlling and …
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