Статті в журналах з теми "Bank portfeli"
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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.
Повний текст джерелаSaidov, 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.
Повний текст джерелаBednarz, 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.
Повний текст джерелаXolov, 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.
Повний текст джерелаAbdulhakim, 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.
Повний текст джерелаUsmonqulova, 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.
Повний текст джерелаAllaberganov, 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.
Повний текст джерелаUrazbayev, 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.
Повний текст джерелаPiplica, 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.
Повний текст джерелаSodiqjon, 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.
Повний текст джерелаSetiawan, Rahmat, Octavia Reniar Putri, and Aulia Claraning Sukmawati. "Diversifikasi Portofolio Kredit, Risiko dan Return Bank." Jurnal Akuntansi 15, no. 1 (2023): 189–99. http://dx.doi.org/10.28932/jam.v15i1.6376.
Повний текст джерелаTomczak, Jakub, and Natalia Nehrebecka. "Prognozowanie Value-at-Risk dla portfeli inwestycyjnych." Prace Naukowe Uniwersytetu Ekonomicznego we Wrocławiu 69, no. 1 (2025): 118–37. https://doi.org/10.15611/pn.2025.1.10.
Повний текст джерелаMaričić, Luka, and Zoran Maričić. "Utjecaj dodatnih dionica na granice efikasnosti, portfelj s minimalnom varijancom i tangencijalni portfelj." Glasilo Future 1, no. 4 (2018): 31–44. http://dx.doi.org/10.32779/gf.1.4.3.
Повний текст джерелаBelguith, Houda, and Meryem Bellouma. "The Impact of Loan Portfolio Diversification on Tunisian Bank’s Profitability." International Journal of Emerging Research in Management and Technology 6, no. 6 (2018): 35. http://dx.doi.org/10.23956/ijermt.v6i6.242.
Повний текст джерелаProdanović, Vladimir. "Uloga Banke na Tržištu Hartija od Vrednosti / Function of Banks on the Securities Market." ECONOMICS 3, no. 1 (2015): 79–87. http://dx.doi.org/10.1515/eoik-2015-0007.
Повний текст джерелаGlindro, Eloisa, Jean Christine Armas, V. Bruce Tolentino, and Lorna Dela Cruz-Sombe. "Heterogenous impact of monetary policy on the Philippine rural banking system." Philippine Review of Economics 59, no. 2 (2022): 111–34. http://dx.doi.org/10.37907/4erp2202d.
Повний текст джерелаNwosi, Anele Andrew, and Akani Elfreda Nwakaego. "Credit Risk Management and Sub-Standard Loans of Commercial Banks in Nigeria: A Panel Data Analysis." International Journal of Finance Research 2, no. 3 (2021): 169–90. http://dx.doi.org/10.47747/ijfr.v2i3.325.
Повний текст джерелаZemel, Michelle. "The Information Content of Loan Growth in Banks." Quarterly Journal of Finance 08, no. 02 (2018): 1850004. http://dx.doi.org/10.1142/s2010139218500040.
Повний текст джерелаTah, Kenneth A., and Oscar Martinez. "The effects of securitized asset portfolio specialization on bank holding company’s return, and risk." Studies in Economics and Finance 33, no. 4 (2016): 679–87. http://dx.doi.org/10.1108/sef-11-2015-0267.
Повний текст джерелаMalla, Buddhi Kumar. "Credit Portfolio Management in Nepalese Commercial Banks." Journal of Nepalese Business Studies 10, no. 1 (2018): 101–9. http://dx.doi.org/10.3126/jnbs.v10i1.19138.
Повний текст джерелаКракович, Виктор, and Daria Udaltsova. "Bank Portfolio Allocation Strategy and Its Probability of Failure: Case of the Russian Banking Sector Purge." Journal of Corporate Finance Research / Корпоративные Финансы | ISSN: 2073-0438 16, no. 2 (2022): 32–43. http://dx.doi.org/10.17323/j.jcfr.2073-0438.16.2.2022.32-43.
Повний текст джерелаBasher, Syed Abul, Lawrence M. Kessler, and Murat K. Munkin. "Bank capital and portfolio risk among Islamic banks." Review of Financial Economics 34 (September 2017): 1–9. http://dx.doi.org/10.1016/j.rfe.2017.03.004.
Повний текст джерелаKholidah, Himmatul, Maulidiyah Maulidiyah, Hanifiyah Yuliatul Hijriah, and Aqilah Nadiah Md. Sahiq. "STRATEGI DIVERSIFIKASI PORTOFOLIO: ANALISIS DAMPAK RISIKO DAN KEUNTUNGAN PADA BANK KONVENSIONAL DAN SYARIAH MILIK NEGARA DI INDONESIA." e-Journal Ekonomi Bisnis dan Akuntansi 11, no. 2 (2024): 62. http://dx.doi.org/10.19184/ejeba.v11i2.52146.
Повний текст джерелаAbidah, Asiska Nur, Putri Hidayanti Pratiwi, Triya Oftafiana, and Muhammad Aswad. "Comparison of Stock Portfolio Performance of Conventional Banks and Islamic Banks Using Sharpe Ratio, Treynor Ratio, and Jensen Ratio (2021-2023)." Jurnal Ilmu Ekonomi Terapan 9, no. 2 (2024): 295–311. https://doi.org/10.20473/jiet.v9i2.59272.
Повний текст джерелаW. Secrest, Thomas. "Asset portfolio maturity changes during the financial crisis: evidence from U.S. banks." Banks and Bank Systems 15, no. 2 (2020): 28–37. http://dx.doi.org/10.21511/bbs.15(2).2020.03.
Повний текст джерелаRusina, Yuliia O. "CURRENT STATUS AND PERSPECTIVES OF THE DEVELOPMENT OF INVESTMENT ACTIVITY OF THE COMMERCIAL BANKS DURING MILITARY AGGRESSION." Journal of Strategic Economic Research, no. 1 (July 13, 2023): 35–44. http://dx.doi.org/10.30857/2786-5398.2023.1.4.
Повний текст джерелаDr., Stephen Githaiga Ngware, and Kevin Ogonji Muluka Dr. "Effect of Deposits Portfolio on the Financial Performance of Commercial Banks in Kenya." International Journal of Management and Commerce Innovations 11, no. 2 (2024): 385–96. https://doi.org/10.5281/zenodo.10838178.
Повний текст джерелаReddy, Kalluru Siva. "Are Banks in India Diversified Enough, Geographically, Across States and Economic Sectors?" Review of Development and Change 26, no. 1 (2021): 83–103. http://dx.doi.org/10.1177/09722661211005585.
Повний текст джерелаKusi, Baah Aye, Lydia Adzobu, Alex Kwame Abasi, and Kwadjo Ansah-Adu. "Sectoral Loan Portfolio Concentration and Bank Stability: Evidence from an Emerging Economy." Journal of Emerging Market Finance 19, no. 1 (2019): 66–99. http://dx.doi.org/10.1177/0972652719878597.
Повний текст джерелаZakoyan, H. "METHODOLOGY OF EVALUATION AND FORECAST OF THE LEVEL OF DEFAULT OF THE CREDIT ACCOUNT IN COMMERCIAL BANKS." Sciences of Europe, no. 121 (July 24, 2023): 19–25. https://doi.org/10.5281/zenodo.8176696.
Повний текст джерелаNyang'iye, Samson Akumu, Cyrus Iraya, and Duncan Elly Ochieng. "Residential Mortgage Portfolio, Product Innovation and Performance of Commercial Banks in Kenya." European Journal of Business and Management Research 7, no. 3 (2022): 184–93. http://dx.doi.org/10.24018/ejbmr.2022.7.3.1439.
Повний текст джерелаAnita Ali, Mariuam Shafi, Aftab Hussain Tabasam, Anam Ashiq, and Malik Shahzad Shabbir. "Trends and volume of successful application of Musharakah as a major mode of financing in Pakistan: A case study of Meezan bank limited." Journal of Public Value and Administrative Insight 5, no. 2 (2022): 467–82. http://dx.doi.org/10.31580/jpvai.v5i2.2621.
Повний текст джерелаPratiwi, Ariani Dian, Idqan Fahmi, and Rifki Ismal. "Optimal Hajj Funds Management by Islamic Bank." ETIKONOMI 18, no. 2 (2019): 303–14. http://dx.doi.org/10.15408/etk.v18i2.10938.
Повний текст джерелаMuchere, George Oundo, Felix Mwambia, and Wilson Muema. "The Influence of Credit Management on Loans Portfolio Performance of Commercial Banks in Kenya." International Journal of Professional Practice 9, no. 3 (2021): 100–110. https://doi.org/10.71274/ijpp.v9i3.117.
Повний текст джерелаKashyap, M. Gupta. "Linear Programming Techniques to Optimize Bank of Baroda's Loan Portfolio." International Journal of Trend in Scientific Research and Development 2, no. 4 (2018): 591–97. https://doi.org/10.31142/ijtsrd13018.
Повний текст джерелаEmedo, Michael. "Strategies for effective management of loans: A case study of keystone Bank plc." Asian Journal of Economics and Business Management 3, no. 1 (2024): 477–86. http://dx.doi.org/10.53402/ajebm.v3i1.403.
Повний текст джерелаBELIKOVA, Tetiana, and Marharyta PUSHKINA. "Methods for analyzing the quality of a banks loan portfolio." Economics. Finances. Law, no. 4/1 (April 30, 2020): 35–40. http://dx.doi.org/10.37634/efp.2020.4(1).8.
Повний текст джерелаOyetade, Damilola, Adefemi A. Obalade, and Paul-Francois Muzindutsi. "Basel capital requirements, portfolio shift and bank lending in Africa." ACRN Journal of Finance and Risk Perspectives 10, no. 1 (2021): 296–319. http://dx.doi.org/10.35944/jofrp.2021.10.1.014.
Повний текст джерелаMarchenko, Olha V., Olha S. Petrykiva, and Kateryna O. Korobko. "Minimizing Credit Risk and Improving the Quality of the Bank’s Loan Portfolio." Business Inform 11, no. 538 (2022): 205–10. http://dx.doi.org/10.32983/2222-4459-2022-11-205-210.
Повний текст джерелаSainath, Ch, and Dr S. Narender. "THE DIVERSIFICATION EFFECT OF PORTFOLIO PERFORMANCE BY HDFC BANK, HYDERABAD." INTERANTIONAL JOURNAL OF SCIENTIFIC RESEARCH IN ENGINEERING AND MANAGEMENT 08, no. 07 (2024): 1–13. http://dx.doi.org/10.55041/ijsrem36463.
Повний текст джерелаGanieva, Gulchexra. "PUL-KREDIT SIYOSATINI TAKOMILLASHTIRISH ORQALI TIJORAT BABKLARINING LIKVIDLIGINI TA`MINLASH YO`LLARI." Journal of Science-Innovative Research in Uzbekistan 2, no. 10 (2024): 423–34. https://doi.org/10.5281/zenodo.13957073.
Повний текст джерелаErmolenko, O. M. "MINIMIZING CREDIT RISK AND IMPROVING THE QUALITY OF THE CREDIT PORTFOLIO OF THE COMMERCIAL BANK." Scientific bulletin of the Southern Institute of Management, no. 2 (June 30, 2017): 18–23. http://dx.doi.org/10.31775/2305-3100-2017-2-18-23.
Повний текст джерелаGhosh, Saibal. "Foreign banks in MENA countries: how important? How relevant?" Journal of Economic and Administrative Sciences 32, no. 1 (2016): 77–98. http://dx.doi.org/10.1108/jeas-11-2014-0031.
Повний текст джерелаКаripova, A. M., and D. S. Baktybaeva. "FORMATION AND MANAGEMENT OF THE BANK'S INVESTMENT PORTFOLIO." Vestnik of M. Kozybayev North Kazakhstan University, no. 1 (53) (March 14, 2022): 64–70. http://dx.doi.org/10.54596/2309-6977-2022-1-64-70.
Повний текст джерелаIskakova, Z., Zh Gusmanova, and A. Kurmanalina. "Loan portfolio management of commercial banks of the Republic of Kazakhstan in conditions of increasing cross-border impact of sanctions on the economy." ECONOMIC SERIES OF THE BULLETIN OF THE L.N. GUMILYOV ENU, no. 1 (2023): 275–84. http://dx.doi.org/10.32523/2789-4320-2023-1-275-284.
Повний текст джерелаAlbehery, Nagwa, Marwa A. Helal, and Amal F. Ghania. "Inverse Multi-Objective Optimization for Portfolio Allocation in Commercial Banks." Statistics, Optimization & Information Computing 13, no. 3 (2025): 977–92. https://doi.org/10.19139/soic-2310-5070-2188.
Повний текст джерелаAtul, Kumar, Joshi Jena, and Saxena Jini. "Service portfolio analysis of banking sector: A comparative study." MERC Global's International Journal of Management 6, no. 4 (2018): 168–74. https://doi.org/10.5281/zenodo.6677003.
Повний текст джерелаIndraswari, Citra Rahayu, Kartika Sari, and Puspitasari Wahyu Anggraeni. "Exploring the Relationship Between Diversification, Risk Bank, Size Bank, and Liquidity; Evidence From Conventional Banking In Indonesia." EcceS (Economics Social and Development Studies) 10, no. 2 (2023): 184–204. http://dx.doi.org/10.24252/ecc.v10i2.41087.
Повний текст джерелаYunita, Patria. "THE DIGITAL BANKING PROFITABILITY CHALLENGES: ARE THEY DIFFERENT BETWEEN CONVENTIONAL AND ISLAMIC BANKS?" Jurnal Akuntansi dan Keuangan Indonesia 18, no. 1 (2021): 55–74. http://dx.doi.org/10.21002/jaki.2021.04.
Повний текст джерелаThiong’o, Paul Kiama, Matata Kilungu, and Charles Guandaru Kamau. "Loan Portfolio Growth and FinancialPerformance of Commercial banks in Kenya." East African Finance Journal 3, no. 1 (2024): 27–47. http://dx.doi.org/10.59413/eafj/v3.i1.2.
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