Risk Analysis of the Romanian Banking System – an Aggregated Balance Sheet Approach

Abstract

The paper presents a risk analysis for the current Romanian banking system. The analysis is conducted from the point of view of prudential rules and also from the point of view of Romanian banking system’s exposure to foreign funds, considering the consequences of these features, concerning the soundness and reliability of the banking system. The analysis found a manageable risk level, apparently, although during 2009 and 2010 the expansion of risk indicators was accelerated, but finally, in the late 2010, there are some signs of stabilization. The exposure of Romanian banking system to foreign funds was another important risk source. The exposure to foreign funds had an important decrease during 2009, but in 2010 it seems to stabilize.

Authors and Affiliations

Eugen MITRICA, Liliana MOGA, Andrei STANCULESCU

Keywords

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  • EP ID EP91930
  • DOI -
  • Views 143
  • Downloads 0

How To Cite

Eugen MITRICA, Liliana MOGA, Andrei STANCULESCU (2010). Risk Analysis of the Romanian Banking System – an Aggregated Balance Sheet Approach. Annals of "Dunarea de Jos" University - Fascicle I. Economics and Applied Informatics, 0(2), 177-184. https://europub.co.uk/articles/-A-91930