Dardac, Nicolae; Moinescu, Bogdan - In: Theoretical and Applied Economics 9(504) (2006) 9(504), pp. 55-60
development of complex methodologies of risk measurement and management, on a large scale, by credit institutions, simple and … own funds adequacy framework which is much more risk sensitive and provides incentives to credit institutions on what … concerns the improvement of risk measurement and management systems was met by approval of the Basel II Accord, which will …