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Finance and Credit
 

Analysis of macro prudential indicators of credit risk

Vol. 19, Iss. 21, JUNE 2013

Available online: 5 June 2013

Subject Heading: FINANCIAL SPHERE

JEL Classification: 

Alikaeva M.V. Doctor of Economics, Professor, Head of the Department of Economics and Finance, the Kabardino-Balkaria State University
alika123@rambler.ru

Agirova Z.M. Senior Lecturer, the Department of Automated Information Technologies, the Kabardino-Balkaria State University
zazagygy@mail.ru

In the article the general characteristics of state of the banking sector are presented. As a result of the conducted analysis of macro-prudential indicators are determined the vulnerability of the banking sector to credit risk. The main tasks and the ways of their solution, aimed at reducing the level of credit risk are presented.

Keywords: banking sector, credit risk, liquidity, assets, capital adequacy, real sector of economy

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

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