BANK RISK MANAGEMENT

被引:0
作者
Perekhrest, L. M. [1 ]
机构
[1] Natl State Tax Serv Univ Ukraine, UA-08201 Irpin, Kyiv Region, Ukraine
来源
ACTUAL PROBLEMS OF ECONOMICS | 2009年 / 100期
关键词
a bank; risk management; risk of bank crisis; financial crisis contamination; currency crisis; excessive borrowing syndrome;
D O I
暂无
中图分类号
F [经济];
学科分类号
02 ;
摘要
The article considers the essence of risks and their classification; reasons for risks' escalation in the banking activity are defined; suggestions and recommendations concerning their decrease aiming at the increase of efficiency and stability of the domestic banks are carried out.
引用
收藏
页码:122 / 128
页数:7
相关论文
共 11 条
  • [1] Balabanov I. T., 1996, Risk Management
  • [2] CHERNOV M, 1998, BANKOVSKIYE TEKHNOLO, P59
  • [3] DIBA M, 2007, VISN NATS BANKU UKR, P28
  • [4] PERNARIVSKY OV, 2008, PROBLEMY PERSPEKT RO, P226
  • [5] POTOTSKAYA YEG, 2001, BUKHGALTERIYA BANKI, P17
  • [6] PRIMOSTKA LO, 2004, FINANSOVY MENEDZHMEN
  • [7] ROUZ PS, 1995, BANKOVSKY MENEDZHMEN
  • [8] SEVRUK VT, 2001, RISKI FINANSOVOGO SE
  • [9] SINKI DZH, 1994, UPRAVL FINANSAMI KOM
  • [10] SMIRNOV AV, 2002, UPRAVL RESURS FINANS