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dc.contributor.authorKANEVA, Aglika
dc.date.accessioned2020-06-04T12:59:56Z
dc.date.accessioned2020-06-04T12:59:58Z
dc.date.available2020-06-04T12:59:56Z
dc.date.available2020-06-04T12:59:58Z
dc.date.issued2019
dc.identifier.issn1314-3123
dc.identifier.urihttp://hdl.handle.net/10610/4195
dc.description.abstractThe research paper analyses the profitability of banks in EU Member States -earnings after taxes, return on equity and return on assets. It also reviews the dynamics of the indicators for assessing the quality of bank assets, such as the share of watch exposures and non-performing exposures on loans and advance payments, specific provisions and loan impairments of banks in the European Union and the euro area, since, similar to the profitability indicators, they are strongly affected by financial crises.us_US
dc.publisherTsenov Publishing HouseEN_en
dc.relation.ispartofseries2;4
dc.subjectbanksus_US
dc.subjectbanking systemus_US
dc.subjectprofitability indicatorus_US
dc.subjectearnings after taxesus_US
dc.subjectreturn on equityus_US
dc.titleANALYSIS OF THE PROFITABILITY INDICATORS AND THE INDICATORS FOR ASSESSING THE QUALITY OF BANK ASSETS IN EU MEMBER STATES IN THE PERIOD FROM 2007 TO 2017us_US
dc.typeArticleus_US


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