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Correlations between risk management indicators and performance levels on the example of S.C. Bancpost S.A.

By Alina MANTA and Dan Florentin SICHIGEA


During the implementation of the monetary policy, the National Bank of Romania took great care for the activity of giving loans. Analyzing USA crisis, IMF pointed out the importance of regulations for this sector, which practically don’t exist in some cases, especially in the case of innovative banking instruments, such as sub prime, derivatives and others.risk management, performance, banking instruments

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