Articles
| Open Access |
https://doi.org/10.37547/ijmef/Volume05Issue06-07
Methods for Qualitative Exploitation of Banking Sector Assets in The Euro Area
Abstract
This article analyzes the ways to ensure and manage asset quality in the banking sector in the Eurozone area. The study looked at modern approaches such as credit risk reduction, NPL level control, Basel III requirements and stress tests. The experience of the eurozone member states is analyzed and practical approaches to improving the stability of banking assets are identified. In addition, a brief comparison with the banking sector of Uzbekistan was made, recommendations were given on the application of best practices in the national system.
Keywords
Banking sector, eurozone, asset quality
References
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