Credit risk management models
One of the main goals of financial institutions is to minimize risk because it is directly related to their profitability and performance. In the business of lending and trading, there is always a risk for counterparties and associates to default on their debts. This thesis is an exposition of some...
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格式: | text |
語言: | English |
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Animo Repository
2013
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在線閱讀: | https://animorepository.dlsu.edu.ph/etd_bachelors/2895 |
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機構: | De La Salle University |
語言: | English |