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APA
Babazade G(2025). Assessment of the Credit Portfolio Risk of Kapital Bank OJSC. Economics and Administration, 9(2), 155-166.
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Chicago
Govhar Babazade. "Assessment of the Credit Portfolio Risk of Kapital Bank OJSC" Economics and Administration 9, no.2 (2025): 155-166.
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MLA
Govhar Babazade "Assessment of the Credit Portfolio Risk of Kapital Bank OJSC" Economics and Administration 9.2 (2025): 155-166.
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Assessment of the Credit Portfolio Risk of Kapital Bank OJSC
Credit risk
Loan portfolio
Risk metrics
Bank performance
Portfolio variability
Govhar Babazade
Received:
2025-12-01
Revised:
2026-01-12
Accepted:
2026-01-13
Published:
2026-04-14
Doi:
https://doi.org/10.30546/2521-6341.2025.02.2018
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Volume 9
Issue 2
Page 155-166
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