FINANCIAL CRISIS AND ITS IMPLICATIONS IN RISK AND PERFORMANCE OF BANKS IN ROMANIA

In this paper I addressed the most significant aspects of performance banking on a sample of 10 banks in Romania. We started with the significant aspects of the banking crisis began in 2007 and whose consequences are still felt today both in the EU and USA. Based on the rate method I tried to cap...

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Main Author: GĂBAN LUCIAN
Format: Article
Language:English
Published: Academica Brâncuşi 2016-04-01
Series:Analele Universităţii Constantin Brâncuşi din Târgu Jiu : Seria Economie
Subjects:
ROA
ROE
Online Access:http://www.utgjiu.ro/revista/ec/pdf/2016-02/20_Gaban%202.pdf
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spelling doaj-d47f07d84434416eb285f8d5517c473c2020-11-24T23:57:56ZengAcademica BrâncuşiAnalele Universităţii Constantin Brâncuşi din Târgu Jiu : Seria Economie 1844-70071844-70072016-04-0112146 152FINANCIAL CRISIS AND ITS IMPLICATIONS IN RISK AND PERFORMANCE OF BANKS IN ROMANIAGĂBAN LUCIAN01 DECEMBER 1918 UNIVERSITY ALBA IULIA, ROMANIA In this paper I addressed the most significant aspects of performance banking on a sample of 10 banks in Romania. We started with the significant aspects of the banking crisis began in 2007 and whose consequences are still felt today both in the EU and USA. Based on the rate method I tried to capture the extent to which the financial crisis has had a negative impact on the sample of analyzed banks. http://www.utgjiu.ro/revista/ec/pdf/2016-02/20_Gaban%202.pdffinancial crisisbank riskthe net marginROAROE
collection DOAJ
language English
format Article
sources DOAJ
author GĂBAN LUCIAN
spellingShingle GĂBAN LUCIAN
FINANCIAL CRISIS AND ITS IMPLICATIONS IN RISK AND PERFORMANCE OF BANKS IN ROMANIA
Analele Universităţii Constantin Brâncuşi din Târgu Jiu : Seria Economie
financial crisis
bank risk
the net margin
ROA
ROE
author_facet GĂBAN LUCIAN
author_sort GĂBAN LUCIAN
title FINANCIAL CRISIS AND ITS IMPLICATIONS IN RISK AND PERFORMANCE OF BANKS IN ROMANIA
title_short FINANCIAL CRISIS AND ITS IMPLICATIONS IN RISK AND PERFORMANCE OF BANKS IN ROMANIA
title_full FINANCIAL CRISIS AND ITS IMPLICATIONS IN RISK AND PERFORMANCE OF BANKS IN ROMANIA
title_fullStr FINANCIAL CRISIS AND ITS IMPLICATIONS IN RISK AND PERFORMANCE OF BANKS IN ROMANIA
title_full_unstemmed FINANCIAL CRISIS AND ITS IMPLICATIONS IN RISK AND PERFORMANCE OF BANKS IN ROMANIA
title_sort financial crisis and its implications in risk and performance of banks in romania
publisher Academica Brâncuşi
series Analele Universităţii Constantin Brâncuşi din Târgu Jiu : Seria Economie
issn 1844-7007
1844-7007
publishDate 2016-04-01
description In this paper I addressed the most significant aspects of performance banking on a sample of 10 banks in Romania. We started with the significant aspects of the banking crisis began in 2007 and whose consequences are still felt today both in the EU and USA. Based on the rate method I tried to capture the extent to which the financial crisis has had a negative impact on the sample of analyzed banks.
topic financial crisis
bank risk
the net margin
ROA
ROE
url http://www.utgjiu.ro/revista/ec/pdf/2016-02/20_Gaban%202.pdf
work_keys_str_mv AT gabanlucian financialcrisisanditsimplicationsinriskandperformanceofbanksinromania
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