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Finance and Credit
 

Banking risks and external aspects of management of them in the conditions of the economic crisis

Vol. 16, Iss. 40, OCTOBER 2010

Available online: 26 October 2010

Subject Heading: Banking system

JEL Classification: 

Shvetsov A.M. graduate student of chair «The corporate finance and bank activity», Volgograd State University
Shvecov-aleksei@mail.ru

In connection with the crisis effect in world economy the problem of banking risks management, both in the bank, and through creation of macroeconomic conditions, has got recently still the big urgency. In the present work character of display of the basic bank risks in the conditions of an economic crisis is analysed, the most effective ways of a data control by risks as in the bank, and a method of regulation of bank system and the macroeconomic environment are defined. The conclusion that risks in the conditions of an economic crisis can be caused insufficient capitalization of bank, liquidity level, conditions of the macroeconomic environment and a situation in separate branches is drawn. Combined work is necessary for the prevention of the given risks both banks, and the state regulators.

Keywords: risks, crisis, banks, the macroeconomic environment, regulation

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

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