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Finance and Credit
 

Assessing the financial stability of the bank by the mathematical models

Vol. 16, Iss. 38, OCTOBER 2010

Available online: 15 October 2010

Subject Heading: Banking system

JEL Classification: 

Pronskaya N.S. Associate professor, Department of Corporate Finances and Banking, State Educational Institution of Higher Professional Education, Volgograd State University
nina5506@mail.ru

Gogol D.A. Student Department of Corporate Finances and Banking, State Educational Institution of Higher Professional Education, Volgograd State University
dmitriygogol86@gmail.com

Financial stability of banks under crisis must be objectively evaluated, including by the mathematical methods. This article outlines a systematic approach to modeling and assessing the financial stability of the bank, based on the variation model of grids and their adaptability in the management of banking risks. It is concluded that under increasing risk on during a crisis banks are especially important to ensure their financial stability and be able to appreciate it.

Keywords: assessing the financial stability of the bank, risk, management, system, elements, variation model of grids

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

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