The effect of diversification of the credit portfolio on bank’s credit risk
The credit portfolio management and the optimal credit portfolio selection are identified as one of the most effective factors in banks’ credit risk. Two main strategies in this regard include diversification versus concentration. In this study, at first, the status of diversification of Iran’s bank...
Main Authors: | , , |
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Format: | Article |
Language: | fas |
Published: |
University of Tehran
2016-05-01
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Series: | تحقیقات مالی |
Subjects: | |
Online Access: | https://jfr.ut.ac.ir/article_52458_97af256cfc62442e4d949d3213f744d1.pdf |