Abstract [eng] |
In this master’s final paper are defined main problems of commerce banks in credit portfolio risk management. Due to analyze of Lithuanian and foreign authors, principles of credit portfolio formation, risk management methods and practical appliance in commerce banks are proposed in this work. Peculiarities of credit portfolio formation and risk management in DnB NORD bank are introduced in analytical part of the work. Ways of improving credit portfolio risk management emphasizing credit, liquidity and change of interest rate risks are also offered. |