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Finance and Credit
 

On the theory, principles and classification of monitoring of banking risks

Vol. 17, Iss. 11, MARCH 2011

Available online: 15 March 2011

Subject Heading: Risk management

JEL Classification: 

Travkina E.V. candidate of economic sciences, docent faculty a banking, Saratov state socio-economic university
travkina.elena74@mail.ru

In work theoretical aspects of monitoring of bank risks are considered. Being based on the general interpretation of bank monitoring and risk taking into account specificity of realization of monitoring in the field of bank risks, the author's treatment of concept of monitoring of bank risks is offered. The developed characteristic of monitoring of bank risks operating in Russia with use of several criteria (scale of monitoring researches in the field of bank risks, objects and subjects of monitoring, sources of reception of the information) is given.

Keywords: monitoring, bank monitoring, risks, bank risk

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

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