To the question about the nature, classification and management of banking risks

Автор: Saitgalina L.S., Rastegaeva F.S.

Журнал: Juvenis scientia @jscientia

Рубрика: Экономические науки

Статья в выпуске: 12, 2017 года.

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The article considers theoretical aspects of Bank risks, namely the notion of the term "banking risk", the relevance of the identification and management of banking risks. The classification of basic banking risks. The mechanism of management of banking risks. Summarizing the article, the author States that under the Bank risk understand the probability of deterioration of stability and the onset of financial losses due to adverse circumstances, which depend on a number of internal and external factors. The greatest threat to be internal factors, such as the illiterate actions of employees and management of the Bank. External risks do not depend on the particular Bank, so you can only reduce the negative consequences of occurrence of these risks.

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Risk, banking risk, risk management, banking sector, financial stability

Короткий адрес: https://sciup.org/14110453

IDR: 14110453

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