期刊名称:Finante - provocarile viitorului (Finance - Challenges of the Future)
印刷版ISSN:1583-3712
出版年度:2010
卷号:1
期号:11
页码:243-249
出版社:University of Craiova, Faculty of Economics and Business Administration
摘要:The aim of the paper is to emphasize the possible correlations between the risk indicators and the most important indicator that evaluates the bank performances, the financial return (ROE). Therefore, we proposed ourselves, after having analyzed and interpreted the trends, to make an empirical study, using the regression function, at the Romanian bank BRD Groupe Société Générale(BRD – GSG) because we believe that its indicators are very relevant for the analysis.