Please use this identifier to cite or link to this item:
https://er.knutd.edu.ua/handle/123456789/7434
Title: | Management of economic risks in banks: concept and definition |
Other Titles: | Управління економічними ризиками в банках: сутність та значення |
Authors: | Babina, N. |
Keywords: | risk management banking sector bank risk management stages of risk management |
Issue Date: | 2017 |
Citation: | Babina N. Management of economic risks in banks: concept and definition / N. Babina // Modern Science. – 2017. – № 2. – P. 14-18. |
Source: | Modern Science |
Abstract: | This article is devoted to the peculiarities of risk management in the banking sector. The author have examined current approaches to the definition of the concept of "risk management" and also have defined the approaches of the National Bank of Ukraine to its understanding. The content of the principles underlying risk management in banks has been defined. Six stages of bank risks have been substantiated. |
URI: | https://er.knutd.edu.ua/handle/123456789/7434 |
Faculty: | Інститут комп'ютерних технологій та дизайну |
Department: | Кафедра комп'ютерної інженерії та фундаментальних дисциплін |
ISSN: | 2336-498X |
Appears in Collections: | Наукові публікації (статті) Кафедра комп'ютерної інженерії та фундаментальних дисциплін (КІФД) |
Files in This Item:
File | Description | Size | Format | |
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MANAGEMENT OF ECONOMIC RISKS IN BANKS.pdf | 183,84 kB | Adobe PDF | View/Open |
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