WAYS TO STRENGTHEN ASSET PORTFOLIO EFFICIENCY IN THE EXPERIENCE OF FOREIGN COUNTRIES
loading.default
item.page.date
item.page.authors
item.page.journal-title
item.page.journal-issn
item.page.volume-title
item.page.publisher
The Conference Hub
item.page.abstract
This scientific thesis analyzes the experiences of commercial banks in developed and developing countries in improving the quality of their asset portfolios. It examines the possibilities of banks to maintain stable profitability and liquidity levels by improving the quality of their loan portfolios and effectively managing their securities portfolios. It also examines the composition and management of bank assets using the example of Barclays Bank of the United Kingdom.