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Finance and Credit
 

Application of integrated system of estimation of risk-management in practice of bank supervision

Vol. 18, Iss. 38, OCTOBER 2012

Available online: 20 October 2012

Subject Heading: Banking

JEL Classification: 

Idrisova S.K. PhD in Economics, Professor of department "Taxes and Money Circulation", the Daghestan State University
salyhat1@rambler.ru

Rabadanova D.A. PhD in Economics, Associate Professor of department "Finance and Insurance", the Daghestan State University
salyhat1@rambler.ru

Bagrova E.S. Applicant of department "Taxes and Money Circulation", the Daghestan State University
salyhat1@rambler.ru

In the article it is noted that in the conditions of influence of crisis processes on a state of banking system the special urgency is got by need of effective management of risks in the credit organizations. On the basis of calculation of an integrated indicator of a risk management for the regional credit organizations their stratification is carried out and expediency of application of the differentiated approach in practice of bank supervision depending on management efficiency by risks in banks is proved.

Keywords: risk-management, credit organization, bank supervision, control, efficiency, banking sector, region.

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

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