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Aspecte teoretice ale gestiunii riscului de lichiditate în cadrul instituţiilor bancare [Articol]

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dc.contributor.author Postolache (Dogotari), Victoria
dc.date.accessioned 2022-03-01T13:33:14Z
dc.date.available 2022-03-01T13:33:14Z
dc.date.issued 2016
dc.identifier.citation Postolache (Dogotari), Victoria. Aspecte teoretice ale gestiunii riscului de lichiditate în cadrul instituţiilor bancare / Victoria Postolache (Dogotari) // Conferinţa ştiinţifico-practică „Inovaţia: factor al dezvoltării social-economice”, 3 martie 2016. Secţia 1 : Ştiinţe economice ; Secţia 2 : Ştinţe exacte şi inginereşti. – Cahul : Univ. de Stat „B. P. Haşdeu” din Cahul, 2016. – P. 37-41. – ISBN 978-9975-88-012-1. ro
dc.identifier.uri http://dspace.usarb.md:8080/jspui/handle/123456789/5486
dc.description.abstract During the last financial crisis, loss of liquidity of large financial institutions created premises for failing to honor the payment of the obligations, which caused their bankruptcy, thus demonstrating that the profit and capital is not a reliable measure of protection against the risk liquidity. To highlight the methodological aspects of the study we aim to characterize the many facets of the concept of "liquidity" of particular interest to this complex organization and proper management of liquidity risk. en
dc.language.iso ro ro
dc.publisher USARB ro
dc.rights Attribution-NonCommercial-NoDerivatives 4.0 International *
dc.rights.uri http://creativecommons.org/licenses/by-nc-nd/4.0/ *
dc.subject the risk liquidity en
dc.subject financial crisis en
dc.subject the short-term liquidity coverage ratio (LCR) en
dc.subject the structural net stable funding ratio (NSFR) en
dc.title Aspecte teoretice ale gestiunii riscului de lichiditate în cadrul instituţiilor bancare [Articol] ro
dc.type Article en


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