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1

Peter, Taylor, and IFS School of Finance, eds. Consumer credit risk management. Global Professional Publishing, 2008.

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2

Nationalbank, Oesterreichische, and Finanzmarkt Austria Dienstleistungs GesmbH, eds. Guidelines on credit risk management. Oesterreichische Nationalbank (OeNB), 2004.

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3

Sathye, Milind, James Bartle, Raymond Boffey, and Michael Vincent. Credit Analysis and Lending Management. Wiley, 2003.

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4

Gundlach, Matthias. CreditRisk+ in the Banking Industry. Springer Berlin Heidelberg, 2004.

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5

1954-, Allen Linda, ed. Credit risk measurement: New approaches to value at risk and other paradigms. 2nd ed. John Wiley, 2002.

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6

National Automated Clearing House Association., ed. Resources on ACH risk: A compendium of papers. National Automated Clearing House Association, 1991.

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7

Sironi, Andrea, and Paolo Savona. La gestione del rischio di credito: Esperienze e modelli nelle grandi banche italiane. Edibank, 2000.

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8

Morris, JoAnne. Risk diversification in the credit portfolio: An overview of country practices. International Monetary Fund, Monetary and Exchange Affairs Department, 2001.

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9

Lautenschlager, Peter. Workout-Management: Theoretische Fundierung und empirische Analyse des Managements vom Problemkrediten im schweizerischen Kreditgeschäft. P. Haupt, 2000.

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10

Carey, Mark S. Dimensions of credit risk and their relationship to economic capital requirements. National Bureau of Economic Research, 2000.

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11

Lücke, Tobias. Bankaufsichtsrechtliche Anerkennung interner Kreditportfoliomodelle. Lang, 2011.

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12

Nationalbank, Oesterreichische. Guidelines on credit risk mitigation: Legal framework in [name of Eastern Europe country]. Oesterreichische Nationalbank, 2005.

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13

Grunert, Jens. Empirische Evidenz zur Prognose des Ausfallwahrscheinlichkeit und der Recovery Rate von Bankkrediten an deutsche Unternehmen. J. Grunert, 2005.

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14

Gourieroux, Christian. Risque de crédit: Une approche avancée. Economica, 2007.

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15

André, Tiomo, ed. Risque de crédit: Une approche avancée. Economica, 2007.

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16

ha-meḥḳar, Banḳ Yiśraʼel Maḥleḳet, ред. ha-Etanut ha-finansit shel ha-migzar ha-ʻisḳi ha-reʼali ṿe-sikune ha-ashraʼi ba-maʻarekhet ha-banḳaʼit be-Yiśraʼel. Banḳ Yiśraʼel, Maḥleḳet ha-meḥḳar, 2009.

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17

Benner, Wolfgang, Jonny Holst, and Marco Wilkens. Finanzielle Märkte und Banken: Innovative Entwicklungen am Beginn des 21. Jahrhunderts : Wolfgang Benner zum 60. Geburtstag. A. Spitz, 2000.

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18

Dinkelmann, Reto. Kriterien und Instrumente zur Risikofrüherkennung im Firmenkundengeschäft der Banken. P. Haupt, 1995.

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19

Nationalbank, Oesterreichische. Guidelines on bank-wide risk management: Internal capital adequacy assessment process. Oesterreichische Nationalbank, 2006.

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20

Colin, Bell, and Graham Alastair, eds. Bankers' lending techniques. 3rd ed. Global Professional, 2011.

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21

Bernard, Henri. Information, liquidity and risk in the international interbank market: Implicit guarantees and private credit market failure. Bank for International Settlements, Monetary and Economic Dept., 2000.

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22

Silver, Lars. Credit risk assessment in different contexts: The influence of local networks for bank financing of SMEs. Dept. of Business Studies, Uppsala University, 2001.

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23

Brovkina, Natal'ya, Elena Ternovskaya, Aleksandr Evgenievich Ushanov, Elena Shatalova, and Marianna Belova. Implementation of credit operations. INFRA-M Academic Publishing LLC., 2025. https://doi.org/10.12737/2023030.

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The textbook reflects the results of theoretical studies of the credit market and modern practice of credit transactions. The experience of using end-to-end digital technologies in working with clients, in procedures for granting loans, assessing borrowers' creditworthiness, ensuring its repayment, and in managing credit risk is summarized. The analysis of the statistical and factual material presented in the textbook allows us to better understand the current state and problems of commercial banks' lending activities and assess the directions of its further development. Meets the requirements
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24

Biedermann, Rainer. Zur Mikroökonomik von Kreditmarktinteraktionen: Kreditbeziehungen zwischen Banken und souveränen Schuldnern. VVF, 1988.

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25

United States. Congress. Senate. Committee on Banking, Housing, and Urban Affairs. Examnation [sic] of the current condition of the banking and credit union industries: Hearing before the Committee on Banking, Housing, and Urban Affairs, United States Senate, One Hundred Eighth Congress, second session, on improved risk-management practices of banks, the current status and direction of regulatory efforts to revise capital standards for internationally active banks, deposit insurance, and consolidation within the domestic banking industry, April 20, 2004. U.S. G.P.O., 2005.

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26

Wolfram, Schmitt. Internationale Projektfinanzierung bei deutschen Banken: Analyse einer neuen Bankmarktleistung unter besonderer Berücksichtigung risikopolitischer und implementierungsstrategischer Entscheidungsfelder. F. Knapp, 1989.

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27

Credit, United States Congress House Committee on Financial Services Subcommittee on Financial Institutions and Consumer. The new Basel Accord: Private sector perspectives : hearing before the Subcommittee on Financial Institutions and Consumer Credit of the Committee on Financial Services, U.S. House of Representatives, One Hundred Eighth Congress, second session, June 22, 2004. U.S. G.P.O., 2004.

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28

United States. Congress. House. Committee on Financial Services. Subcommittee on Financial Institutions and Consumer Credit. The new Basel Accord: In search of a unified U.S. position : hearing before the Subcommittee on Financial Institutions and Consumer Credit of the Committee on Financial Services, U.S. House of Representatives, One Hundred Eighth Congress, first session, June 19, 2003. U.S. G.P.O., 2003.

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29

Cacha, Maria del Mar. The role of supervisory tools in addressing bank borrowers' currency mismatches. International Monetary Fund, Monetary and Financial Systems Department, 2003.

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30

Rozhdestvenskaya, Tat'yana, and Aleksey Guznov. Banking supervision in the Russian Federation. INFRA-M Academic Publishing LLC., 2021. http://dx.doi.org/10.12737/1693531.

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The textbook highlights the theoretical and practical problems of banking supervision in Russia, including its goals, objects and forms. Special attention is paid to the requirements for bank risk management and enforcement measures applied by the Central Bank of the Russian Federation to credit institutions.
 For undergraduates of law schools, graduate students and teachers.
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31

Wagner, Niklas. Credit Risk. Taylor and Francis, 2008.

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32

Witzany, Jiří. Credit Risk Management. Springer International Publishing, 2017. http://dx.doi.org/10.1007/978-3-319-49800-3.

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33

Colquitt, Joetta. Credit Risk Management. McGraw-Hill, 2007.

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34

Peter, Went, ed. Credit risk management. GARP, 2010.

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35

GesmbH, Finanzmarkt Austria Dienstleistungs, ed. Guidelines on credit risk management: Credit approval process and credit risk management. Oesterreichische Nationalbank, 2004.

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36

Mali︠u︡kov, S. A. Osobennosti funkt︠s︡ionirovanii︠a︡ kreditno-finansovykh institutov v informat︠s︡ionnoĭ ėkonomike: Monografii︠a︡. Siti Print, 2010.

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37

Siddiqi, Naeem. Credit Risk Scorecards. John Wiley & Sons, Ltd., 2005.

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38

Anolli, M., E. Beccalli, and T. Giordani. Retail Credit Risk Management. Palgrave Macmillan, 2013.

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39

Anolli, M., E. Beccalli, and T. Giordani. Retail Credit Risk Management. Palgrave Macmillan Limited, 2013.

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40

Bandyopadhyay, Arindam. Managing Portfolio Credit Risk in Banks. Cambridge University Press, 2016.

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41

Bandyopadhyay, Arindam. Managing Portfolio Credit Risk in Banks. Cambridge University Press, 2017.

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42

Torre, Maura La. Risk in Banking: Developing a Knowledge Risk Management Framework for Cooperative Credit Banks. Springer International Publishing AG, 2021.

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43

Torre, Maura La. Risk in Banking: Developing a Knowledge Risk Management Framework for Cooperative Credit Banks. Springer International Publishing AG, 2020.

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44

Chen, Wei, and Jimmy Skoglund. Financial Risk Management: Applications in Market, Credit, Asset and Liability Management and Firmwide Risk. Wiley & Sons, Incorporated, John, 2015.

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45

Chen, Wei, and Jimmy Skoglund. Financial Risk Management: Applications in Market, Credit, Asset and Liability Management and Firmwide Risk. Wiley & Sons, Incorporated, John, 2015.

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46

Chen, Wei, and Jimmy Skoglund. Financial Risk Management: Applications in Market, Credit, Asset and Liability Management and Firmwide Risk. Wiley & Sons, Incorporated, John, 2015.

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47

Chen, Wei, and Jimmy Skoglund. Financial Risk Management: Applications in Market, Credit, Asset and Liability Management and Firmwide Risk. Wiley & Sons, Limited, John, 2015.

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48

Managing Portfolio Credit Risk in Banks: An Indian Perspective. Cambridge University Press, 2016.

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49

Mun, Johnathan, and Morton Glantz. Banker's Handbook on Credit Risk: Implementing Basel II. Elsevier Science & Technology Books, 2008.

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50

Integrating Market, Credit and Operational Risk: A Complete Guide for Bankers & Risk Professionals. Risk Books, 2006.

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