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Pregled bibliografske jedinice broj: 353040

Managing Credit Risk in Croatian Banking Sector


Šarlija, Nataša; Pejić-Bach, Mirjana; Jaković, Božidar
Managing Credit Risk in Croatian Banking Sector // 28th Scientific Symposium "The Future of Monetary and Financial Stability in Europe" / Wagner, Urlich ; Bacher, Urban ; Huth, Rupert ; Turkalj, Željko ; Pfeifer, Sanja ; Ferenčak, Ivan (ur.).
Osijek: Ekonomski fakultet Sveučilišta Josipa Jurja Strossmayera u Osijeku, 2008. str. 125-140 (predavanje, međunarodna recenzija, cjeloviti rad (in extenso), znanstveni)


CROSBI ID: 353040 Za ispravke kontaktirajte CROSBI podršku putem web obrasca

Naslov
Managing Credit Risk in Croatian Banking Sector

Autori
Šarlija, Nataša ; Pejić-Bach, Mirjana ; Jaković, Božidar

Vrsta, podvrsta i kategorija rada
Radovi u zbornicima skupova, cjeloviti rad (in extenso), znanstveni

Izvornik
28th Scientific Symposium "The Future of Monetary and Financial Stability in Europe" / Wagner, Urlich ; Bacher, Urban ; Huth, Rupert ; Turkalj, Željko ; Pfeifer, Sanja ; Ferenčak, Ivan - Osijek : Ekonomski fakultet Sveučilišta Josipa Jurja Strossmayera u Osijeku, 2008, 125-140

ISBN
978-953-253-051-3

Skup
"The Future of Monetary and Financial Stability in Europe"

Mjesto i datum
Pforzheim, Njemačka, 24.09.2007. - 27.09.2007

Vrsta sudjelovanja
Predavanje

Vrsta recenzije
Međunarodna recenzija

Ključne riječi
managing risk; banking sector; business intelligence

Sažetak
Credit risk is one of the most important risk banks have to deal with. Due to that fact it is important for banks to be aware of the need to identify measure, monitor and manage credit risk. Basel 2 - International Convergence of Capital Measurement and Capital Standards, as a set of internationally acceptable rules of behavior in banking sector, give recommendations and basic principles for risk management as well as rules for minimum capital requirements calculation. In this paper it is discussed how banks in Croatia manage credit risk in terms of methods and tools they use and activities they take in order to comply with Basel 2 standards. A survey research has been conducted with aim to examine the usage of business intelligence tools in the Croatian banking system. Further it is discussed which problems and expectations banks are facing related to credit risk management and Basel 2 as well as what are the major challenges, motivation and preliminary activities for Basel 2 implementation in Croatia.

Izvorni jezik
Engleski

Znanstvena područja
Ekonomija, Informacijske i komunikacijske znanosti



POVEZANOST RADA


Projekti:
010-0101195-1048 - Modeli za ocjenu rizičnosti poslovanja poduzeća (Šarlija, Nataša, MZOS ) ( CroRIS)
067-1521781-2485 - Inteligentni sustavi kontrolinga, financija i računovodstva digitalnog poduzeća (Peić-Bach, Mirjana, MZOS ) ( CroRIS)

Ustanove:
Ekonomski fakultet, Osijek,
Ekonomski fakultet, Zagreb


Citiraj ovu publikaciju:

Šarlija, Nataša; Pejić-Bach, Mirjana; Jaković, Božidar
Managing Credit Risk in Croatian Banking Sector // 28th Scientific Symposium "The Future of Monetary and Financial Stability in Europe" / Wagner, Urlich ; Bacher, Urban ; Huth, Rupert ; Turkalj, Željko ; Pfeifer, Sanja ; Ferenčak, Ivan (ur.).
Osijek: Ekonomski fakultet Sveučilišta Josipa Jurja Strossmayera u Osijeku, 2008. str. 125-140 (predavanje, međunarodna recenzija, cjeloviti rad (in extenso), znanstveni)
Šarlija, N., Pejić-Bach, M. & Jaković, B. (2008) Managing Credit Risk in Croatian Banking Sector. U: Wagner, U., Bacher, U., Huth, R., Turkalj, Ž., Pfeifer, S. & Ferenčak, I. (ur.)28th Scientific Symposium "The Future of Monetary and Financial Stability in Europe".
@article{article, author = {\v{S}arlija, Nata\v{s}a and Peji\'{c}-Bach, Mirjana and Jakovi\'{c}, Bo\v{z}idar}, year = {2008}, pages = {125-140}, keywords = {managing risk, banking sector, business intelligence}, isbn = {978-953-253-051-3}, title = {Managing Credit Risk in Croatian Banking Sector}, keyword = {managing risk, banking sector, business intelligence}, publisher = {Ekonomski fakultet Sveu\v{c}ili\v{s}ta Josipa Jurja Strossmayera u Osijeku}, publisherplace = {Pforzheim, Njema\v{c}ka} }
@article{article, author = {\v{S}arlija, Nata\v{s}a and Peji\'{c}-Bach, Mirjana and Jakovi\'{c}, Bo\v{z}idar}, year = {2008}, pages = {125-140}, keywords = {managing risk, banking sector, business intelligence}, isbn = {978-953-253-051-3}, title = {Managing Credit Risk in Croatian Banking Sector}, keyword = {managing risk, banking sector, business intelligence}, publisher = {Ekonomski fakultet Sveu\v{c}ili\v{s}ta Josipa Jurja Strossmayera u Osijeku}, publisherplace = {Pforzheim, Njema\v{c}ka} }




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