Overcoming consequences of the financial and economic crisis of 2008-2010. Problems of bank credit risk management. Quantitative and qualitative indicators of credit risk assessment of the various sectors of the economy. Loan portfolio optimization.
При низкой оригинальности работы "Improving the bank credit risk management by means of regulation of its branch concentration", Вы можете повысить уникальность этой работы до 80-100%