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Assignments: 1. to make clear about creditworthiness of company’s; 2. to indentify the main criterians of outside and inside environments, to make decision of evaluation of company‘s creditworthiness; 3. to calculate the index of finance analysis which lead us to do rigth decision making the...
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it is analysed and systemised the methods of credit’s risk identification, management and valuation conducted by various … often named as the main source of the credit’s risk. The diversification of Lithuanian commercial banks’ loans portfolios is …, that credit’s risk management can be valuated not only by using constant monitoring of the loans, but also by analysing the …
Persistent link: https://www.econbiz.de/10009478288
Theoretically analysing macroeconomic environment influence on credit risk, especially in the period of economic … downturn, the object of this paper is to evaluate the credit risk dependence on macroeconomic factors in banking system of … Lithuania. The first part of the paper describes the conception and evaluation of credit risk, the influence of particularly …
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Most of today’s finance management and investment scientific papers emphasize the importance of finance risk management … and practical aspects of treasury risk management, factors causing risk, types of risks, methods of treasury risk … evaluation and management as described by various Lithuanian and foreign authors. It identifies that the main goal of risk …
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correct, and in time due to different reasons the usefulness of the loan may decrease. The major risk faced by the banks is … credit risk. Since financing remains not only one of the most significant, but one of the riskiest banking activities as well …, it is particularly important to properly manage credit risk by applying sound risk assessment mechanism.The main …
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Commercial bank credit risk evaluation and management problems, the necessity of loan portfolio analysis and its goals …, also foreign countries experience are examined in this final master‘s thesis.In the first chapter, credit risk theoretical … background is researched. It consists of credit risk conception, main banks‘ risks and their influence on loan portfolio …
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