The article considers the impact of components of market risk on its dynamics and structure of the Russian finance industry. It estimates change in the structure and in the number of financial institutions calculating market risk. It also identifies cause and effect link between the changes studied. The reasons of decline in the share of market risk in the general risks of the banking sector and a small growth of the market risk for the 2013-2014. Identifies the source and reasons for changes in the basic structure of the market risk and the built causal relationships change of market risk in the dynamics during the analyzed period. The article analyzes the market risk framework to determine the significance of market risk components in the...
The article deals with specific features of market infrastructure development inRussiafor the last f...
The article examines the key trends in the banking system of the Russian Federation in 2017-2019. Th...
The objective of the article is to determine key factors which affect banking capital on 2014, compa...
The article considers the impact of components of market risk on its dynamics and structure of the R...
The need to ensure economic security in the context of globalization is based on the stable and safe...
The article is based on the author's report “On the root causes of the growing chaos and measures to...
The article is based on the author’s report “On the root causes of the growing chaos and measures to...
The article examines the current state and major imbalances in the financial market of Ukraine, whic...
The article reveals the problem of adapting the Basel standards for managing the market and, in part...
© 2020 KIIE This study uses multiple regression analysis with financial ratios to determine the impa...
The article reveals the influence of Belarusian banks financial risks on banks profitability
The paper considers the issue of operational risk management in Russian commercial banks. The correl...
The article provides a comparative analysis of the financial sector of Russia and other countries in...
This article is devoted to the study of the activity of financial market institutions in modern cond...
The article describes the problems of introduction of asset securitization in Russia in terms of sta...
The article deals with specific features of market infrastructure development inRussiafor the last f...
The article examines the key trends in the banking system of the Russian Federation in 2017-2019. Th...
The objective of the article is to determine key factors which affect banking capital on 2014, compa...
The article considers the impact of components of market risk on its dynamics and structure of the R...
The need to ensure economic security in the context of globalization is based on the stable and safe...
The article is based on the author's report “On the root causes of the growing chaos and measures to...
The article is based on the author’s report “On the root causes of the growing chaos and measures to...
The article examines the current state and major imbalances in the financial market of Ukraine, whic...
The article reveals the problem of adapting the Basel standards for managing the market and, in part...
© 2020 KIIE This study uses multiple regression analysis with financial ratios to determine the impa...
The article reveals the influence of Belarusian banks financial risks on banks profitability
The paper considers the issue of operational risk management in Russian commercial banks. The correl...
The article provides a comparative analysis of the financial sector of Russia and other countries in...
This article is devoted to the study of the activity of financial market institutions in modern cond...
The article describes the problems of introduction of asset securitization in Russia in terms of sta...
The article deals with specific features of market infrastructure development inRussiafor the last f...
The article examines the key trends in the banking system of the Russian Federation in 2017-2019. Th...
The objective of the article is to determine key factors which affect banking capital on 2014, compa...