Capital adequacy assessment and risks of Russian banks in an unstable economic situation
A review of the dynamics of the main indicators of Russian banks has been presented, their risks in the context of step-by-step implementation of the recommendations of the international capital adequacy assessment standards in a period of unstable economic situation have been analysed, and also the...
Guardado en:
Autores principales: | T. Yu. Mazurina, E. I. Shamanina |
---|---|
Formato: | article |
Lenguaje: | RU |
Publicado: |
Publishing House of the State University of Management
2020
|
Materias: | |
Acceso en línea: | https://doaj.org/article/5668f05041de4588b0e71fe73fdab7dc |
Etiquetas: |
Agregar Etiqueta
Sin Etiquetas, Sea el primero en etiquetar este registro!
|
Ejemplares similares
-
Bank Risk Capital and Its Effectiveness in Selected Euro Area Banking Sectors
por: Irena Pyka, et al.
Publicado: (2021) -
BANKING REGULATION AND SUPERVISION IN TRADITIONAL AND ISLAMIC FINANCE: COMPARATIVE ANALYSIS AND IMPLEMENTATION FEATURES
por: T. Yu. Mazurina, et al.
Publicado: (2020) -
Bank solvency: The role of credit and liquidity risks, regulatory capital and economic stability
por: Isaiah Oino
Publicado: (2021) -
Nexus between bank capital and risk-taking behaviour: Empirical evidence from US commercial banks
por: Faisal Abbas, et al.
Publicado: (2021) -
Market Reaction to the Issuance of Capital Instruments by Brazilian Banks
por: André Ricardo Moncaio Zanon, et al.
Publicado: (2020)