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Finance and Credit
 

Evolution of credit institutions' risk regulation approaches: modern aspect

Vol. 20, Iss. 3, JANUARY 2014

Available online: 23 January 2014

Subject Heading: Banking

JEL Classification: 

Sakovich M.I. Senior Lecturer, the Department of Economics, Accounting and Finance, The National Mineral and Raw University "Gorny", St-Petersburg
marina.sakovich@gmail.com

Credit institutions are subject of shocks which appear at financial markets. The present work analyzes the evolution of risk regulation approaches of credit institutions since the first third of XX century till now. The author observes the risk regulation on the external and internal levels. In particular, he observes the stages of the regulation: strengthening in 1930, the deregulation process, the contemporary regulation intensification at the international level, the internal risk regulation systems development since 1960. The paper presents the interrelation between the evolution of risk regulation approaches of credit institutions and financial crises, financial technologies development, the financial markets globalization.

Keywords: evolution of credit institutions' regulation, external credit institutions' risk regulation, internal credit institutions' risk regulation, cost of regulation

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ISSN 2311-8709 (Online)
ISSN 2071-4688 (Print)

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