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Macroeconomic credit risk modelling: an empirical investigation of the Romanian and Bulgarian banking systems with reference to the Greek crisis

Macroeconomic credit risk modelling: an empirical investigation of the Romanian and Bulgarian banking systems  with reference to the Greek crisis
Added on 01/07/2011

In the frame of the Research Students Seminar Series at SEERC, we are pleased to announce a seminar to be delivered by Mr Sofoklis Vogiazas, PhD candidate, on the topic:"Macroeconomic credit risk modelling: an empirical investigation of the Romanian and Bulgarian banking systems with reference to the Greek crisis".

The seminar is scheduled to take place in the Conference Room of L.Sofou building (7th floor), on Tuesday 12th July, 2011 at 13:00 and is open to the public. The poster of the seminar can be downloaded here

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