INTERNATIONAL BANKING RISK MANAGEMENT IN GLOBALIZATION CONDITIONS
The issue of global cash flows on world markets is becoming extremely important today. The article deals with the problem of supervising and regulating commercial banks in the US, Japan, the EU and Great Britain. The author provides indicators of finance efficiency of large banks of industrialized c...
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Plekhanov Russian University of Economics
2017
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oai:doaj.org-article:9a3ba3bbab7a4ce48c041aa4f6f6c85f2021-11-15T05:20:42ZINTERNATIONAL BANKING RISK MANAGEMENT IN GLOBALIZATION CONDITIONS2413-28292587-925110.21686/2413-2829-2015-2-82-88https://doaj.org/article/9a3ba3bbab7a4ce48c041aa4f6f6c85f2017-09-01T00:00:00Zhttps://vest.rea.ru/jour/article/view/29https://doaj.org/toc/2413-2829https://doaj.org/toc/2587-9251The issue of global cash flows on world markets is becoming extremely important today. The article deals with the problem of supervising and regulating commercial banks in the US, Japan, the EU and Great Britain. The author provides indicators of finance efficiency of large banks of industrialized countries and BRICS. Principle barriers preventing higher efficiency of credit organizations functioning and arranging banking market with higher liquidity were described. The author proposes key provisions of the strategy aimed at the development of the national system of managing bank risks and methods of enhancing the information base in order to improve bank risk management.David I. FilippovPlekhanov Russian University of Economicsarticlebanking systembasel iiicredit organizationscapitalcredit profitliquiditysolvencyvolatilitycapital sufficiencyrisk-weighted assetsfinance derivativesnon-stock marketfinance crisisfinance marketfinance agencyEconomics as a scienceHB71-74RUВестник Российского экономического университета имени Г. В. Плеханова, Vol 0, Iss 2, Pp 82-88 (2017) |
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DOAJ |
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banking system basel iii credit organizations capital credit profit liquidity solvency volatility capital sufficiency risk-weighted assets finance derivatives non-stock market finance crisis finance market finance agency Economics as a science HB71-74 |
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banking system basel iii credit organizations capital credit profit liquidity solvency volatility capital sufficiency risk-weighted assets finance derivatives non-stock market finance crisis finance market finance agency Economics as a science HB71-74 David I. Filippov INTERNATIONAL BANKING RISK MANAGEMENT IN GLOBALIZATION CONDITIONS |
description |
The issue of global cash flows on world markets is becoming extremely important today. The article deals with the problem of supervising and regulating commercial banks in the US, Japan, the EU and Great Britain. The author provides indicators of finance efficiency of large banks of industrialized countries and BRICS. Principle barriers preventing higher efficiency of credit organizations functioning and arranging banking market with higher liquidity were described. The author proposes key provisions of the strategy aimed at the development of the national system of managing bank risks and methods of enhancing the information base in order to improve bank risk management. |
format |
article |
author |
David I. Filippov |
author_facet |
David I. Filippov |
author_sort |
David I. Filippov |
title |
INTERNATIONAL BANKING RISK MANAGEMENT IN GLOBALIZATION CONDITIONS |
title_short |
INTERNATIONAL BANKING RISK MANAGEMENT IN GLOBALIZATION CONDITIONS |
title_full |
INTERNATIONAL BANKING RISK MANAGEMENT IN GLOBALIZATION CONDITIONS |
title_fullStr |
INTERNATIONAL BANKING RISK MANAGEMENT IN GLOBALIZATION CONDITIONS |
title_full_unstemmed |
INTERNATIONAL BANKING RISK MANAGEMENT IN GLOBALIZATION CONDITIONS |
title_sort |
international banking risk management in globalization conditions |
publisher |
Plekhanov Russian University of Economics |
publishDate |
2017 |
url |
https://doaj.org/article/9a3ba3bbab7a4ce48c041aa4f6f6c85f |
work_keys_str_mv |
AT davidifilippov internationalbankingriskmanagementinglobalizationconditions |
_version_ |
1718428763867316224 |