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Financial Analytics: Science and Experience
 

Marketing analysis of the risks of the banking system of the Russian Federation in crisis economic conditions

Vol. 9, Iss. 30, AUGUST 2016

PDF  Article PDF Version

Received: 14 July 2016

Received in revised form: 29 July 2016

Accepted: 15 August 2016

Available online: 16 August 2016

Subject Heading: MONITORING OF ECONOMIC PROCESSES

JEL Classification: C13, E32, E58, G21, M31

Pages: 33-48

Tetushkin V.A. Tambov State Technical University, Tambov, Russian Federation
volodtetus@yandex.ru

Subject The article studies the risks of the banking system.
Objectives The paper aims to combine disaggregated data contained in open sources of information, to obtain the amount of information and gain a better understanding of the interdependence between the banking market players and predict further development and possible implications for business and the population in the banking risks area.
Methods For the study, I used the econometric and statistical methods of analysis.
Results The paper presents analytical data, which reflect the market performance of the banking system in the context of crisis in the Russian Federation in 2015, and it identifies possible trends.
Conclusions and Relevance The nation's biggest banks have been able to adapt to the current crisis, having significant State support. The banks focused on retail business have to operate at maximum capacity. Universal banks and banks, which activities are focused on corporate business, will face acute need for additional capital in the near future due to the escalation and aggravation of the crisis phenomena in the economy. The results of the research can be helpful for students and teachers, and they can be used as recommendations for banking or other financial enterprises and organizations.

Keywords: banking system, risk, crisis, marketing, analysis

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