Дорошенко, А. А. (2013) “THEORETICAL BASIC OF MANAGEMENT BY THE PORTFOLIO CREDIT RISK OF BANK”, Bulletin of V. N. Karazin Kharkiv National University Economic Series, 0(1047), pp. 71-75. Available at: https://periodicals.karazin.ua/economy/article/view/14177 (Accessed: 21November2024).