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Financial Analytics: Science and Experience
 

Banks’ liquidity management: mistakes and advice on improvement

Vol. 3, Iss. 9, AUGUST 2010

Available online: 9 August 2010

Subject Heading: Economic crisis

JEL Classification: 

Aleksandrov A.S. the bachelor of faculty of the finance and the credit, Finance Academy under the Government of the Russian Federation
aleksander.s.aleksandrov@gmail.com

Gokhberg E.L. the bachelor of the international economic faculty, Finance Academy under the Government of the Russian Federation
gokhberg.e@gmail.com

Current article analyses liquidity risk sources in the bank system and liquidity management methods. Author’s aim is to describe what happens to liquidity in times of crisis, when there is huge uncertainty in the markets. Moreover, author analyses possible changes in liquidity management methods in order to avoid similar crises in future.

Keywords: liquidity, risk, stress-testing, management, asset

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ISSN 2311-8768 (Online)
ISSN 2073-4484 (Print)

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