Η έννοια και η διαχείριση του λειτουργικού κινδύνου : η περίπτωση των ελληνικών τραπεζών για την περίοδο 2013-2015
- DOI
- 10.26250/heal.panteion.495
- Published
- 2017
- Container
- Not recorded
- Publisher
- Πάντειον Πανεπιστήμιο Κοινωνικών και Πολιτικών Επιστημών
- Open access
- yes
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limited evidence Score 45/100 under policy 1.0.0. This is a metadata assessment, not a judgment of the paper's conclusions.
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Cite this work
BibTeX
@article{allodium:10.26250/heal.panteion.495,
title = {Η έννοια και η διαχείριση του λειτουργικού κινδύνου : η περίπτωση των ελληνικών τραπεζών για την περίοδο 2013-2015},
author = {Τρομπούκης, Ιωάννης Σ.},
year = {2017},
doi = {10.26250/heal.panteion.495},
url = {https://doi.org/10.26250/heal.panteion.495}
}RIS
TY - JOUR TI - Η έννοια και η διαχείριση του λειτουργικού κινδύνου : η περίπτωση των ελληνικών τραπεζών για την περίοδο 2013-2015 AU - Τρομπούκης, Ιωάννης Σ. PY - 2017 DO - 10.26250/heal.panteion.495 UR - https://doi.org/10.26250/heal.panteion.495 ER -
APA
Σ., Τ. Ι. (2017). Η έννοια και η διαχείριση του λειτουργικού κινδύνου : η περίπτωση των ελληνικών τραπεζών για την περίοδο 2013-2015. https://doi.org/10.26250/heal.panteion.495
Source records
- datacite · retrieved 2026-09-25T16:37:28.180Z