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...

Descripción completa

Guardado en:
Detalles Bibliográficos
Autor principal: David I. Filippov
Formato: article
Lenguaje:RU
Publicado: Plekhanov Russian University of Economics 2017
Materias:
Acceso en línea:https://doaj.org/article/9a3ba3bbab7a4ce48c041aa4f6f6c85f
Etiquetas: Agregar Etiqueta
Sin Etiquetas, Sea el primero en etiquetar este registro!
id oai:doaj.org-article:9a3ba3bbab7a4ce48c041aa4f6f6c85f
record_format dspace
spelling 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)
institution DOAJ
collection DOAJ
language RU
topic 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
spellingShingle 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