Improving the liquidity and solvency management of Gazprombank (JSC)

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The article considers the key performance indicators; assessed the effectiveness of management on the example of the profitability of Gazprombank (JSC); the structure of its resource base; studied the trend of development indicators; based on the presented tables and figures proposed to improve management of liquidity and solvency; studied standard indicators of liquidity and solvency; made correct conclusions about the activities of the Bank, which was formed by a number of factors external and internal environment.

Liquidity, business reputation, loan portfolio, economic situation, bank management

Короткий адрес: https://sciup.org/170182128

IDR: 170182128   |   DOI: 10.24411/2411-0450-2020-10889

Статья научная