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...
Saved in:
Main Author: | David I. Filippov |
---|---|
Format: | article |
Language: | RU |
Published: |
Plekhanov Russian University of Economics
2017
|
Subjects: | |
Online Access: | https://doaj.org/article/9a3ba3bbab7a4ce48c041aa4f6f6c85f |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
Market Reaction to the Issuance of Capital Instruments by Brazilian Banks
by: André Ricardo Moncaio Zanon, et al.
Published: (2020) -
Investigating the Financial Risk Spillover in Banks Accepted in Tehran Stock Exchange Market through MGARCH Approach
by: Mirfeiz Fallah Shams, et al.
Published: (2021) -
THEORETICAL APPROACHES AND TOOLS OF ESTIMATING THE LIQUIDITY OF FINANCE ASSETS IN PORTFOLIO INVESTMENT TASKS
by: Daria A. Bystrova
Published: (2018) -
Expected effects of the revised exposure to banks Basel credit risk weighted assets standard
by: Milojević Nenad, et al.
Published: (2021) -
Stock liquidity and corporate trade credit strategies: evidence from China
by: Umeair Shahzad, et al.
Published: (2021)