Please use this identifier to cite or link to this item: https://repository.hneu.edu.ua/handle/123456789/37553
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dc.contributor.authorФурсова В. А.-
dc.date.accessioned2025-11-05T09:50:08Z-
dc.date.available2025-11-05T09:50:08Z-
dc.date.issued2005-
dc.identifier.citationФурсова В. А. Секьюритизация активов как способ управления финансовыми рисками / В. А. Фурсова // Економіка розвитку. – 2005. – № 1 (33). – С. 49-55.uk_UA
dc.identifier.urihttps://repository.hneu.edu.ua/handle/123456789/37553-
dc.description.abstractIn the article the necessity for commercial banks to change their views of the problem of risks is proved. The securitization of assets is one of the methods of risks management. There are two types of securitizations: classical and synthetic. The essence and opportunities of application the asset-backed securitization in commercial banks of Ukraine is revealed. The advantages and the basic problems of application the asset securitization in Ukraine are considered. The ways of decision these problems are also offered.uk_UA
dc.language.isoru_RUuk_UA
dc.publisherХНЕУ ім. С. Кузнецяuk_UA
dc.subjectфинансовый рынокuk_UA
dc.subjectбанковские технологииuk_UA
dc.subjectкредитные рискиuk_UA
dc.subjectсекьюритизация активовuk_UA
dc.titleСекьюритизация активов как способ управления финансовыми рискамиuk_UA
dc.typeArticleuk_UA
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