Academic literature on the topic 'Bank portfeli'
Create a spot-on reference in APA, MLA, Chicago, Harvard, and other styles
Consult the lists of relevant articles, books, theses, conference reports, and other scholarly sources on the topic 'Bank portfeli.'
Next to every source in the list of references, there is an 'Add to bibliography' button. Press on it, and we will generate automatically the bibliographic reference to the chosen work in the citation style you need: APA, MLA, Harvard, Chicago, Vancouver, etc.
You can also download the full text of the academic publication as pdf and read online its abstract whenever available in the metadata.
Journal articles on the topic "Bank portfeli"
Eldor, Jo'rayev. "Tijorat banklarida kredit portfelini boshqarishning asosiy yo'nalishlari." «Yashil iqtisodiyot va taraqqiyot» jurnali 3, no. 1 (2025): 6–9. https://doi.org/10.5281/zenodo.15161981.
Full textSaidov, Hayotjon. "O‘ZBEKISTON RESPUBLIKASINING TIJORAT BANKLARIDA MUAMMOLI KREDITLARNI BOSHQARISHNING ZAMONAVIY USULLARI." Ilgʻor iqtisodiyot va pedagogik texnologiyalar 2, no. 1 (2025): 42–48. https://doi.org/10.60078/3060-4842-2025-vol2-iss1-pp42-48.
Full textBednarz, Krzysztof. "Portfel Markowitza w transakcjach na rynku Forex." Bank i Kredyt Vol. 55, No. 5 (2024): 603–22. https://doi.org/10.5604/01.3001.0054.8976.
Full textXolov, Nabijon. "TIJORAT BANKLARINING BARQARORLIGINI TA’MINLOVCHI AKTIVLARGA TA’SIR QILUVCHI OMILLARNING EKONOMETRIK TAHLILI." Iqtisodiy taraqqiyot va tahlil 3, no. 1 (2025): 216–24. https://doi.org/10.60078/2992-877x-2025-vol3-iss1-pp216-224.
Full textAbdulhakim, Turdiyev. "Tijorat banklari faoliyatiga foiz riskining ta'siri: ilmiy-nazariy asoslar va amaliyot tahlili." «Muhandislik va Iqtisodiyot» jurnali 3, no. 4 (2025): 7–17. https://doi.org/10.5281/zenodo.15278922.
Full textUsmonqulova, Feruza. "Bank xodimlarining malakaviy kompetentsiyalarini bankning moliyaviy ko'rsatkichlariga ta'sirini baholash yo'llari." Journal of Science-Innovative Research in Uzbekistan 2, no. 10 (2024): 464–75. https://doi.org/10.5281/zenodo.13963750.
Full textAllaberganov, Sirojali. "TIJORAT BANKLARIDA DEPOZITLAR TARKIBI VA DINAMIKASI: TAHLILIY YONDASHUV (ATB TURONBANK VA TRASTBANK XAB MISOLIDA)." QO‘QON UNIVERSITETI XABARNOMASI 14 (March 30, 2025): 41–50. https://doi.org/10.54613/ku.v14i.1120.
Full textUrazbayev, Qahhorbek. "TIJORAT BANKLARINING KREDIT SIYOSATINI TAKOMILLASHTIRISH." JOURNAL OF SCIENCE-INNOVATIVE RESEARCH IN UZBEKISTAN 2, no. 10 (2024): 82–86. https://doi.org/10.5281/zenodo.13894901.
Full textPiplica, Damir, and Nina Budimir. "Utjecaj COVID-19 pandemije na kvalitetu portfelja hrvatskih banaka - primjer „OTP banke“ d. d." Elektronički zbornik radova Veleučilišta u Šibeniku 17, no. 3-4 (2023): 37–55. http://dx.doi.org/10.51650/ezrvs.17.3-4.3.
Full textSodiqjon, Ziyodullayev Sodiqjon. "TIJORAT BANKLARI AKTIVLARINING RENTABELLIGINI OSHIRISH MEXANIZMLARINI TAKOMILLASHTIRISH." JOURNAL OF SCIENCE-INNOVATIVE RESEARCH IN UZBEKISTAN 2, no. 8 (2024): 140–52. https://doi.org/10.5281/zenodo.13381268.
Full textDissertations / Theses on the topic "Bank portfeli"
Park, Jung Chik. "Business cycle and bank loan portfolio performance: empirical evidence from Brazilian banks." reponame:Repositório Institucional do FGV, 2011. http://hdl.handle.net/10438/8903.
Full textStankus, Tadas. "Kreditų portfelio rizikos valdymas DnB NORD banko pavyzdžiu." Master's thesis, Lithuanian Academic Libraries Network (LABT), 2007. http://vddb.library.lt/obj/LT-eLABa-0001:E.02~2007~D_20070816_163352-66363.
Full textJasinskas, Gediminas. "Banko paskolų portfelio valdymas." Master's thesis, Lithuanian Academic Libraries Network (LABT), 2014. http://vddb.library.lt/obj/LT-eLABa-0001:E.02~2006~D_20140620_200050-68029.
Full textPelizzon, Loriana. "Bank portfolio management and regulatory policies." Thesis, London Business School (University of London), 2002. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.271455.
Full textDzikevičius, Audrius. "Prekybinio portfelio rizikos valdybas banke." Doctoral thesis, Lithuanian Academic Libraries Network (LABT), 2006. http://vddb.library.lt/obj/LT-eLABa-0001:E.02~2006~D_20060404_135845-50706.
Full textGrundke, Peter. "Integrated market and credit portfolio models : risk measurement and computational aspects /." Wiesbaden : Gabler, 2008. http://d-nb.info/987215159/04.
Full textGarbanovas, Gintautas. "Bank value and risk's portfolio interdependence and management." Doctoral thesis, Lithuanian Academic Libraries Network (LABT), 2010. http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2010~D_20101221_114433-10503.
Full textGraf, Ferdinand [Verfasser]. "Essays on Portfolio- and Bank-Management / Ferdinand Graf." Konstanz : Bibliothek der Universität Konstanz, 2011. http://d-nb.info/1017933863/34.
Full textKühn, Jochen. "Optimal risk return trade-offs of commercial banks and the suitability of profitability measures for loan portfolios with 1 table." [S.l.] : [s.n.], 2006. http://dx.doi.org/10.1007/3-540-34821-2.
Full textSathitsuksanoh, Noppadon Thompson Henry L. "Recent portfolio investment and central bank policy in Thailand." Auburn, Ala, 2008. http://hdl.handle.net/10415/1504.
Full textBooks on the topic "Bank portfeli"
Belotelova, N. P. Upravlenie kreditnym portfelem kommercheskogo banka: Monografii︠a︡. Marketing, 2006.
Find full textGorton, Gary. Corporate control, portfolio choice, and the decline of banking. National Bureau of Economic Research, 1992.
Find full textDeYoung, Robert. Risk overhang and loan portfolio decisions. Federal Reserve Bank of Chicago, 2005.
Find full textAcharya, Viral V. Should banks be diversified?: Evidence from individual bank loan portfolios. Bank for International Settlements, Monetary and Economic Dept., 2002.
Find full textBrunner, Guido F. Die Vermögensverwaltung deutscher Kreditinstitute im Privatkundengeschäft. P. Lang, 1987.
Find full textI, Korobov I︠U︡, Rubin I︠U︡ B, Soldatkin V. I, Promstroĭbank Rossii, Assot︠s︡iat︠s︡ii︠a︡ ėkonomicheskikh vuzov (Russia) та Moskovskiĭ mezhdunarodnyĭ universitet biznesa i informat︠s︡ionnykh tekhnologiĭ., ред. Bankovskiĭ portfelʹ. "SOMINTĖK", 1994.
Find full textMorris, JoAnne. Risk diversification in the credit portfolio: An overview of country practices. International Monetary Fund, Monetary and Exchange Affairs Department, 2001.
Find full textBrandenberger, Susanne. Investment Engineering: Intermediation und Produktegestaltung in der Vermögensverwaltung. P. Haupt, 1995.
Find full textBlattner, Niklaus. Das Vermögensverwaltungsgeschäft der Banken in der Schweiz. P. Haupt, 1996.
Find full textFrame, W. Scott. Federal home loan bank advances and commercial bank portfolio composition. Federal Reserve Bank of Atlanta, 2007.
Find full textBook chapters on the topic "Bank portfeli"
Hunanyan, Gevorg. "Portfolio Selection." In Finanzwirtschaft, Banken und Bankmanagement I Finance, Banks and Bank Management. Springer Fachmedien Wiesbaden, 2019. http://dx.doi.org/10.1007/978-3-658-27956-1_2.
Full textBell, Sarah, Jon Frost, Boris Hofmann, Damiano Sandri, and Hyun Song Shin. "Central Bank Capital and Trust in Money: Lessons from History for the Digital Age." In Contributions to Finance and Accounting. Springer Nature Switzerland, 2025. https://doi.org/10.1007/978-3-031-73549-3_2.
Full textThompson, Neil. "Bank Lending Equations." In Portfolio Theory and the Demand for Money. Palgrave Macmillan UK, 1993. http://dx.doi.org/10.1007/978-1-349-22827-0_8.
Full textHockmann, Heinz J. "Die Entscheidung institutioneller Anleger zwischen internem und externem Portfolio Management." In Bank- und Finanzmanagement. Gabler Verlag, 1993. http://dx.doi.org/10.1007/978-3-322-83766-0_15.
Full textTheiler, Ursula. "Risk-Return Optimization of the Bank Portfolio." In Operations Research Proceedings 2002. Springer Berlin Heidelberg, 2003. http://dx.doi.org/10.1007/978-3-642-55537-4_2.
Full textWu, Christoph F.-D. "Portfolio rebalancing and imitation." In Central Banks in Organizational Networks. Routledge, 2022. http://dx.doi.org/10.4324/9781003211945-5.
Full textSpronk, J., and G. Zambruno. "Interactive Multiple Goal Programming for Bank Portfolio Selection." In Multiple Criteria Decision Methods and Applications. Springer Berlin Heidelberg, 1985. http://dx.doi.org/10.1007/978-3-642-70583-0_14.
Full textWu, Christoph F.-D. "Corporate interlocking networks and portfolio holdings." In Central Banks in Organizational Networks. Routledge, 2022. http://dx.doi.org/10.4324/9781003211945-4.
Full textScherer, Bernd. "Portfolio Choice for Oil Based Sovereign Wealth Funds." In Central Bank Reserves and Sovereign Wealth Management. Palgrave Macmillan UK, 2010. http://dx.doi.org/10.1057/9780230250819_9.
Full textScherer, Bernd. "A Note on Portfolio Choice for Sovereign Wealth Funds." In Central Bank Reserves and Sovereign Wealth Management. Palgrave Macmillan UK, 2010. http://dx.doi.org/10.1057/9780230250819_8.
Full textConference papers on the topic "Bank portfeli"
López Flores, Walter Jeremías. "Evaluation of Neural Network and Logit Models for Classification of Default in Banking Loans." In I Conferencia Internacional de Ciencia, Tecnología e Innovación. Trans Tech Publications Ltd, 2024. http://dx.doi.org/10.4028/p-dxrv7c.
Full textKazi, Monzure-Khoda, Akhilesh Gandhi, and M. M. Faruque Hasan. "Process and Network Design for Sustainable Hydrogen Economy." In Foundations of Computer-Aided Process Design. PSE Press, 2024. http://dx.doi.org/10.69997/sct.125411.
Full textCîrlan, Ana. "Lending activity of legal entities in the current conditions." In International Scientific Conference “30 Years of Economic Reforms in the Republic of Moldova: Economic Progress via Innovation and Competitiveness”. Academy of Economic Studies of Moldova, 2022. http://dx.doi.org/10.53486/9789975155663.52.
Full textAgnese, Paolo, and Paolo Capuano. "How are global banks responding to the COVID-19 pandemic?" In Corporate governance: Fundamental and challenging issues in scholarly research. Virtus Interpress, 2021. http://dx.doi.org/10.22495/cgfcisrp4.
Full textCristeva, Valentina, and Vitalie Chiurcciu. "Efficiency of commercial banks' investments in government securities." In International student scientific conference, ISSC 2025 "Challenges of accounting for young researchers", 9th Edition. Academy of Economic Studies, 2025. https://doi.org/10.53486/issc2025.79.
Full textJemna, Roxana. "Tendințe actuale în activitatea de creditare Retail a băncilor." In Simpozion Ştiinţific al Tinerilor Cercetători, Ediţia a 21-a. Academy of Economic Studies of Moldova, 2024. http://dx.doi.org/10.53486/sstc.v3.43.
Full textFariza, Malinda Ria, and Dony Abdul Chalid. "Board Characteristics and Bank Portfolio Risk." In Proceedings of the 12th International Conference on Business and Management Research (ICBMR 2018). Atlantis Press, 2019. http://dx.doi.org/10.2991/icbmr-18.2019.28.
Full textSaadi, Vahid. "Import Competition and Bank Portfolio Rebalancing." In 30th Annual European Real Estate Society Conference. European Real Estate Society, 2024. http://dx.doi.org/10.15396/eres2024-043.
Full textBeckmann, Elizabeth A., and Lynn C. Gribble. "CMALT 2011 and 2021: Personal narratives for professional recognition." In ASCILITE 2021: Back to the Future – ASCILITE ‘21. University of New England, Armidale, 2021. http://dx.doi.org/10.14742/ascilite2021.0150.
Full textÖzel, Çağlar. "Portfolio Management Contract." In International Conference on Eurasian Economies. Eurasian Economists Association, 2018. http://dx.doi.org/10.36880/c10.02050.
Full textReports on the topic "Bank portfeli"
Bahar Baziki, Selva, María J. Nieto, and Rima Turk-Ariss. Sovereign portfolio composition and bank risk: the case of European banks. Banco de España, 2023. http://dx.doi.org/10.53479/33599.
Full textCáceres, Esther, and Matías Lamas. Dividend Restrictions and Search for Income. Banco de España, 2023. http://dx.doi.org/10.53479/34644.
Full textMicco, Alejandro, Andrew Powell, and Arturo Galindo. Loyal Lenders or Fickle Financiers: Foreign Banks in Latin America. Inter-American Development Bank, 2005. http://dx.doi.org/10.18235/0010962.
Full textSoares, Tatiana Fontes, Alexis Smith-Juvelis, Cheryl Gray, and Alejandro Soriano. IDB-9: Financial and Risk Management. Inter-American Development Bank, 2013. http://dx.doi.org/10.18235/0010520.
Full textMorais, Bernardo, Gaizka Ormazabal, José-Luis Peydró, Mónica Roa, and Miguel Sarmiento. Forward Looking Loan Provisions: Credit Supply and Risk-Taking. Banco de la República, 2021. http://dx.doi.org/10.32468/be.1159.
Full textCastro, Carlos, and Karen Garcia. Default Risk in Agricultural Lending: The Effects of Commodity Price Volatility and Climate. Inter-American Development Bank, 2014. http://dx.doi.org/10.18235/0006991.
Full textSoares, Tatiana Fontes, Simon Lodato, Monika Huppi, Jose Claudio Linhares Pires, and Cheryl Gray. Fifth Independent Evaluation of SCF's Expanded Project Supervision Report Exercise. Inter-American Development Bank, 2013. http://dx.doi.org/10.18235/0010613.
Full textTique Andrade, Alfonso, Rosina Estol Peixoto, Héctor Mendoza Castro, and María Eugenia Roca. Procurement and Operational Efficiency: An Analysis of How IDB-Financed Projects are Executed. Inter-American Development Bank, 2013. http://dx.doi.org/10.18235/0010561.
Full textGoldberg, Linda S., and Oliver Hannaoui. Drivers of Dollar Share in Foreign Exchange Reserves. Federal Reserve Bank of New York, 2024. http://dx.doi.org/10.59576/sr.1087.
Full textSuarez, David, Ana Ramirez-Goldin, Juan Manuel Puerta, and Carlos Morales. Approach Paper: Comparative Evaluation of Three Green Lending Projects. Inter-American Development Bank, 2015. http://dx.doi.org/10.18235/0010616.
Full text