Статья: Modern problems and perspectives of management banks’ risk Автор: Соколинская Наталия Эвальдовна (Sat, 08/05/2017 - 15:26)
The proposed collection is one of scientific papers published by undergraduates, this miscellanea observes the main directions of the financial and operational banks’ risks implementation and management in the new economic environment. The collection is based on the materials of the Round table, held on 22 April, 2017 in the group RM 2-1m from the Financial University under the government of the Russian Federation within the course "financial Analysis of commercial Bank based on IFRS". The collection reflected the new trends in analysis, identification of banking risks and the transformation of banking risk management in the conditions of toughened requirements to the financial markets, to credit institutions, as well as the search for new solutions to minimize the risk of the Bank. The work is intended for researchers, professors of economic subjects, postgraduates, undergraduate and graduate students.