Measuring excessive risk - taking in banking
Použitie metódy portfóliového prístupu na vyhodnotenie optimálnej kombinácie rizika a výnosu bankového portfólia.Optimálne bankové portfólio. Nadmerné prijímanie rizika bankami. Dôležitosť finančnej stability pre hospodársky rozvoj. Stabilita bankového sektora. České banky.
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| Language: | English |
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