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Financial Analytics: Science and Experience
 

Macroprudential analyses and estimation of stability of bank sector

Vol. 3, Iss. 15, NOVEMBER 2010

Available online: 9 November 2010

Subject Heading: EFFECTIVENESS OF THE ECONOMIC POLITICS

JEL Classification: 

Krivolevich E.A. the scientific employee, research department of Academy of economic safety of the Ministry of internal affairs of Russia
katerinka2007@inbox.ru

In the article is examined the concept of macroprudential analysis, which makes it possible to analyze and to estimate the probability of the offensive of the crisis in the banking sector. They are given to recommendation for the full-scale application of this form of analysis in practice: to improve the methodology of stress- testing, to inject in the life the regular evaluation of the stability of banking system with respect to the developed indices.

Keywords: bank, system, macroprudential, analysis, stress- testing, the index, financial, stability, the monitoring

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

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