Home Volumul 2 RISCUL DE LICHIDITATE SI IMPACTUL ACESTUIA ASUPRA INFORMATIILOR PREZENTATE IN SITUATIILE FINANCIARE ANUALE ALE INSTITUTIILOR DE CREDIT

RISCUL DE LICHIDITATE SI IMPACTUL ACESTUIA ASUPRA INFORMATIILOR PREZENTATE IN SITUATIILE FINANCIARE ANUALE ALE INSTITUTIILOR DE CREDIT


Ciprian-Dan Costea
Universitatea de Vest “Vasile Goldis” Arad, Facultatea de Stiinte Economice, filiala Satu
Mare, str. Mihai Viteazul. Nr. 26, telefon 0728727475, 0740332556,
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Abstract
The last years are known as crisis years, but according to different researches and authors,
there is not a clear difference between the types tipe of crisis the economy was facing:
financial, economical, liquidity crisis. The banking sector was facing difficult business
moments and many bankers defined this period as a liquidity-connected turbulence period,
with a strong manifestation of the liquidity risk. This framework tries an approach of the
impact of the liquidity risk on the information presented in the Financial Statements of the
credit institutions and of the liquidity risk management in the Romanian banking sector.
Keywords: credit institutions, risk, liquidity risk, liquidity management, effective
liquidity, needed liquidity

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