Financial Policy of The Bank: Portfolio Capital Management
Keywords:
asset, diversification, investment portfolio, Bank capital, credit facilitiesAbstract
This article discusses the role of the portfolio method as an effective asset management of the Bank. Based on the scale of cash turnover in the modern world, as well as a huge variety of assets, the portfolio method is one of the key ways to control and increase your funds. It also allows you to successfully diversify risks, monitor the profitability and liquidity of Bank assets.
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Published
2020-06-30
Issue
Section
Young Researchers' Papers
How to Cite
Financial Policy of The Bank: Portfolio Capital Management. (2020). "Journal "U". Economy. Management. Finance.", 2, 299-305. https://portal-u.ru/index.php/journal/article/view/340