Theoretical aspects of Economic-mathematical modeling of the portfolio of assets and liabilities of the commercial bank
The current state of Economic-mathematical modeling theory of banking within neoclassical approach to interpretation of bank firm is considered. The special attention is paid to the models of management of coherence of the portfolio of assets and liabilities of the commercial bank, decisions of form...
Tallennettuna:
| Päätekijät: | , |
|---|---|
| Aineistotyyppi: | Artigo |
| Kieli: | Russo |
| Julkaistu: |
Russian Academy of Entrepreneurship
2021-08-01
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| Sarja: | Ученые записки Российской академии предпринимательства |
| Aiheet: | |
| Linkit: | https://www.scinotes.ru/jour/article/view/334 |
| Tagit: |
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