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Finance and Credit
 

Bank’s risk-management with using of the project’s risk-profile

Vol. 17, Iss. 30, AUGUST 2011

Available online: 17 August 2011

Subject Heading: Risk management

JEL Classification: 

Hlebnikova M.A. graduate student of chair «the Finance and the credit»,Russian University of Nation’s Friendship
chibisova_marina@mail.ru

In connection with constant growth of risk’s influence on financial activity the especially actual problem is bank’s risk-management, that using of the various measures allowing in certain degree to predict approach of risk event in bank activity and to take measures on decrease in degree of the given risks. Risks are necessary for operating constantly and in a complex. As bank activity as well as any other business is conducted in the conditions of uncertainty the it above, the is more difficult to make the correct decision. Management of risks allows to see every possible consequences behind each event, the decision, action, to count in advance, how to operate at this or that succession of events, to be ready to all. And it, in turn, allows to reduce uncertainty and to make business by more predicted, so successful.

Keywords: bank, risk, risk-management, project’s risk-profile

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

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