Credit risk management lessons from Czech banks for the Chinese banking sector
Author(s): | prof. PhDr. Petr Teplý Ph.D., Liběna Černohorská (University of Pardubice), Liayn Hu |
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Type: | Chapter in book |
Year: | 2010 |
Number: | 0 |
ISSN / ISBN: | 978-80-7248-504-8 |
Published in: | Karolinum Press, Czech Republic |
Publishing place: | Prague, Czech Republic |
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Suggested Citation: | Credit risk and financial crises |
Grants: | GACR 402/08/0004 (2008-2010) Model of Credit Risk Management in the Czech Republic and its Applicability in the EU Banking Sector GACR 403/10/P278 (2010-2012) The Implications of The Global Crisis on Economic Capital Management of Financial Institutions GAUK 114109 (2009-2011) Alternative Approaches to Valuation of Collateralized Debt Obligation IES Research Framework Institutional task (2005-2011) Integration of the Czech economy into European union and its development |
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