SECURITIZATION OF BANK ASSETS AS A MANAGEMENT TOOL OF PORTFOLIO CREDIT RISK OF THE BANK

Abstract

The article defines the essence and importance of securitization as a promising way of managing portfolio credit risk of commercial banks. It grounded the problems of implementation in Ukraine effectively functioning schemes of securitization of bank loan portfolios. Practical recommendations for the use of this method of minimizing credit risk in domestic banking practice are given.

Authors and Affiliations

J. V. Bugel

Keywords

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  • EP ID EP217406
  • DOI -
  • Views 105
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How To Cite

J. V. Bugel (2016). SECURITIZATION OF BANK ASSETS AS A MANAGEMENT TOOL OF PORTFOLIO CREDIT RISK OF THE BANK. Вісник Одеського національного університету. Економіка., 21(4), 164-168. https://europub.co.uk./articles/-A-217406