haku: @journal_id 812 / yhteensä: 170
viite: 79 / 170
Tekijä:Yang, Xiaodong
Otsikko:A probe into the means and methods of controlling asset risk of banking industry in China (original in Chinese)
Lehti:Modern Economic Science (c)
1998 : 1, p.32-39
Asiasana:BANKS
FINANCIAL RISK
PROMOTION
Kieli:chn
Tiivistelmä:To control the asset risk of banking industry in China, we should take the following means and methods: 1. comprehensively conducting assets-liability ratio management 2. establishing asset risk supervision and management system of banking industry and paying attention to such issues as the ratio of ample ness of capital, weight of asset risk, the drawing and using of reserves for ordinary risks, and management of subsidiary indicators and due loans; 3. conducting strict procedure management in loan business including development of business, credit analysis, loan disbursement management, check, recovering, punishing for breaking a contract; 4. establishing asset risk transferring, compensating and dispersing mechanism.
SCIMA tietueen numero: 187684
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