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TRENDS IN THE DEVELOPMENT OF PROFITABILITY AND RISK PROFILE OF THE BANKING SECTOR IN OUR COUNTRY

Abstract

В статията се разглежда влиянието на финансовата криза върху доходността и рисковия профил на банковия сектор у нас. Този проблем се изследва на две равнища – на макроикономическо ниво (банкова система като цяло) и на микроикономическо ниво (конкретни банки). Извежда се показател за комплексно обвързване на печалбата и риска (рисковопретеглена рентабилност), проследява се неговата динамика и се очертават факторите, които му оказват влияние. This paper discusses the impact of the financial crisis on the profitability and risk profile of the banking sector in our country. The problem is studied at two levels – at a macroeconomic level (the banking system as a whole) and at a microeconomic level (particular banks). An indicator is derived for a complex binding of profit and risk (riskweighted profitability), its dynamics is traced and the factors that influence it are outlined

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Last time updated on 03/09/2019

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