+7 925 966 4690, 9am6pm (GMT+3), Monday – Friday
ИД «Финансы и кредит»

JOURNALS

  

FOR AUTHORS

  

SUBSCRIBE

    
Finance and Credit
 

Risk-management of the Russian small and average banks

Vol. 17, Iss. 36, SEPTEMBER 2011

Available online: 5 October 2011

Subject Heading: BANKING BUSINESS

JEL Classification: 

Vinogradov A.A. Associate professor of economic sciences, chair «Account, the analysis and work economy», the Ural federal University name of the first President of Russia B.N. Yeltsin
steil985@e1.ru

The management of risks gets more and more value for the Russian banks. The global economic crisis has aggravated interest to this direction, as well as to the researches devoted to an estimation of efficiency of risk-management in various groups the Russian credit organizations. In the present work the opinions of various experts on influence of global crisis on development of the Russian risk-management are considered, the basic risks of national bank sector in 2010 and are analyzed. The conclusion about efficiency of activity of small and average banks, results of risk-management and their role in bank system of the country is made.

Keywords: risk-management, crisis, commercial bank, risks, management efficiency

View all articles of issue

 

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

Journal current issue

Vol. 30, Iss. 4
April 2024

Archive