ANALISIS CREDIT RISK DENGAN MENGGUNAKAN KONSEP PORTOFOLIO PADA BANK MANDIRI DAN BANK INTERNASIONAL INDONESIA
The banking industry as institutions that have been always confronted with various kinds of risk in their management. The main risk of banking is credit risk. In order to that, risk need to identified, measured and controlled. Diversification is also the key of the portfolio management in credit for...
Saved in:
Main Authors: | , |
---|---|
格式: | Theses and Dissertations NonPeerReviewed |
出版: |
[Yogyakarta] : Universitas Gadjah Mada
2013
|
主題: | |
在線閱讀: | https://repository.ugm.ac.id/125466/ http://etd.ugm.ac.id/index.php?mod=penelitian_detail&sub=PenelitianDetail&act=view&typ=html&buku_id=65635 |
標簽: |
添加標簽
沒有標簽, 成為第一個標記此記錄!
|
機構: | Universitas Gadjah Mada |