IMPROVEMENT OF THE BANKING SYSTEM RISK MANAGEMENT
( Pp. 61-65)
More about authors
Philippov David I.
docent kafedry Bankovskogo dela
Plekhanov Russian University of Economics Guzhavyna Ludmila M. professor kafedry finansov i cen
Plekhanov Russian University of Economics
Plekhanov Russian University of Economics Guzhavyna Ludmila M. professor kafedry finansov i cen
Plekhanov Russian University of Economics
Abstract:
The article is devoted to the banking risk management and regulation of banking system. Discussed national initiatives of the banking structures management in the context of international banking supervision. Studied structural differences banking reforms proposed at the national level of international regulation in terms of Basel III. Highlighted ways to strengthen the financial stability of the banking system and maintain adequate and reliable standards of bank solvency. Sets out the strategic measures of constant adaptation of prudential supervision.
How to Cite:
Philippov D.I., Guzhavyna L.M., (2016), IMPROVEMENT OF THE BANKING SYSTEM RISK MANAGEMENT. Business in Law, 1 => 61-65.
Reference list:
Dokument Bazel skogo komiteta po bankovskomu nadzoru - Bazel II, Bazel III.
Gryaznova A.G. Finansovo-kreditnyy entsiklopedicheskiy slovar . M.: Finansy i statistika, 2004.
Instruktsiya TSB RF ot 03.12.2012 N 139-I (red. ot 16.02.2015) Ob obyazatel nykh normativakh bankov (zaregistrirovano v Minyuste Rossii 13.12.2012 N 26104).
Natocheeva H.H. Strategicheskaya finansovaya bezopasnost kommercheskikh bankov , monografiya, M.: Advansed solyushnz, 2011.
Soros D. Mirovoy ekonomicheskiy krizis i ego znachenie. Novaya paradigma finansovykh rynkov , M.: Mann, Ivanov i Ferber, 2010.
Filippov D.I., Osobennosti razvitiya finansovogo rynka Evropeyskogo soyuza v usloviyakh globalizatsii , monografiya, FGBOU VPO REU im. G.V. Plekhanova , 2014.
Filippov D.I., Mezhdunarodnyy bankovskiy risk-menedzhment v usloviyakh globalizatsii , Vestnik Rossiyskogo Ekonomicheskogo Universiteta imeni G. V. Plekhanova, № 2, 2015.
Bank for International Settlements, 84rd Annual Reports, 2014
Global competitiveness report 2013 - 2014, World Economic Forum, Oxford University Press. 2013.
Fight A. Understanding international bank risk , John Wiley Sons Ltd, 2003.
Hieronymi O. Globalization and the Reform of the International Banking and Monetary System , Macmilan 2009.
Resti A., Sironi A. Risk Management and Shareholders Value in Banking , John Wiley Sons Ltd, 2007.
Gryaznova A.G. Finansovo-kreditnyy entsiklopedicheskiy slovar . M.: Finansy i statistika, 2004.
Instruktsiya TSB RF ot 03.12.2012 N 139-I (red. ot 16.02.2015) Ob obyazatel nykh normativakh bankov (zaregistrirovano v Minyuste Rossii 13.12.2012 N 26104).
Natocheeva H.H. Strategicheskaya finansovaya bezopasnost kommercheskikh bankov , monografiya, M.: Advansed solyushnz, 2011.
Soros D. Mirovoy ekonomicheskiy krizis i ego znachenie. Novaya paradigma finansovykh rynkov , M.: Mann, Ivanov i Ferber, 2010.
Filippov D.I., Osobennosti razvitiya finansovogo rynka Evropeyskogo soyuza v usloviyakh globalizatsii , monografiya, FGBOU VPO REU im. G.V. Plekhanova , 2014.
Filippov D.I., Mezhdunarodnyy bankovskiy risk-menedzhment v usloviyakh globalizatsii , Vestnik Rossiyskogo Ekonomicheskogo Universiteta imeni G. V. Plekhanova, № 2, 2015.
Bank for International Settlements, 84rd Annual Reports, 2014
Global competitiveness report 2013 - 2014, World Economic Forum, Oxford University Press. 2013.
Fight A. Understanding international bank risk , John Wiley Sons Ltd, 2003.
Hieronymi O. Globalization and the Reform of the International Banking and Monetary System , Macmilan 2009.
Resti A., Sironi A. Risk Management and Shareholders Value in Banking , John Wiley Sons Ltd, 2007.
Keywords:
financial stability, banking structure, the banking system, banking risk management, Basel III, banking regulation, prudential supervision, banking reform, credit institutions, capital, credit, profit, liquidity, solvency, volatility, capital adequacy, risk-weighted assets.