Please use this identifier to cite or link to this item: https://rep.polessu.by/handle/123456789/20226
Title: Современные механизмы управления рисками в банковском секторе Германии
Other Titles: Modern risk management mechanisms in the banking sector of Germany
Authors: Чернышова, Н.И.
Теляк, О.А.
Keywords: bank risk
modeling
innovative product
monitoring
financial sustainability
банковские риски
Issue Date: 2018
Publisher: Хабаровск : РИЦ ХГУЭП
Citation: Чернышова, Н.И. Современные механизмы управления рисками в банковском секторе Германии / Н.И. Чернышова, О.А. Теляк // Финансовая экономика: актуальные вопросы развития : сборник трудов международной студенческой научной конференции, 15 ноября 2018 года / Хабаровский государственный университет экономики и права; под науч. ред. С.Н. Солдаткина, О.И. Тишутиной. – Хабаровск : РИЦ ХГУЭП, 2018. – C. 303-305.
Abstract: The globalization of financial markets and the negative effects of the financial crisis have led to negative consequences for the activities of many financial institutions, enterprises and the public and imposed the need to introduce proper risk management measures in the banking sector. In the modern world, where technologies and innovations are developing ahead of time, along with the growing destabilization of market conditions, it is necessary to possess the most advanced risk management skills for highquality and efficient banking business. This article will discuss the experience of banking risk management on the example of the German banking sector.
Appears in Collections:Публикации сотрудников / Publications of the teaching stuff of Polessky State University

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