Significant aspects regarding the analysis of bankruptcy risk

Journal Title: Revista Romana de Statistica - Year 2016, Vol 64, Issue 9

Abstract

From the theoretical and many time practical point of view, an economic agent always faces the risk of bankruptcy. This may have negative consequences, with complex implications on the entire activity of the economic agent, as well as on other entities which are in contact with that economic agent. The bankruptcy risk may be defined as the impossibility of companies of facing a financial-banking transaction, respectively its incapacity of reimbursing in time the borrowed sums of money in the commonly agreed conditions with the third parties, based on o credit contract. It may be the result of some difficulties which couldn’t be identified initially at the moment of analysis and at the moment of evaluation and credit approval but appeared once the contract was implemented.

Authors and Affiliations

Constantin Anghelache, Alexandru Manole, Madalina Anghel, Mugurel Popovici, Marius Popovici

Keywords

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  • EP ID EP101826
  • DOI -
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How To Cite

Constantin Anghelache, Alexandru Manole, Madalina Anghel, Mugurel Popovici, Marius Popovici (2016). Significant aspects regarding the analysis of bankruptcy risk. Revista Romana de Statistica, 64(9), 81-87. https://europub.co.uk/articles/-A-101826