
Bank Portfolio Allocation Strategy and Its Probability of Failure: Case of the Russian Banking Sector Purge
Author(s) -
Виктор Кракович,
Daria Udaltsova
Publication year - 2022
Publication title -
korporativnye finansy
Language(s) - English
Resource type - Journals
ISSN - 2073-0438
DOI - 10.17323/j.jcfr.2073-0438.16.2.2022.32-43
Subject(s) - portfolio , bank failure , order (exchange) , business , asset (computer security) , liability , license , probability of default , financial system , actuarial science , finance , economics , monetary economics , credit risk , computer science , computer security , operating system