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Finance and Credit
 

Reduction of systematic risks on financial market: new regulative approaches

Vol. 16, Iss. 16, APRIL 2010

Available online: 16 April 2010

Subject Heading: Risk-management

JEL Classification: 

Evlakhova Y.S. associate professor, Rostov State University of Economics (RINH)
evlahova@yandex.ru

The paper’s goal is investigation theoretical positions about systematic risks on financial markets and analysis of international and Russian practices. The results are the formulation “systematic risks” from the positions of systematic approach, the systematization approaches to evaluation of systematic risks (as risks in the banking system and risks of systematically important institutes) and the revelation of specificity the regulative methods used foreign and Russian economists.

Keywords: systematic risks, systematically important institutes, macro- and micro prudential regulation

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

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