Abt V. S. (master student of the Financial University under the Government of the Russian Federation)
Martynenko N. N. (Ph.D. in Economics, an assistant professor of the Financial University under the Government of the Russian Federation)
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This article describes the basic components of risk management in a commercial bank, in particular discussing in details a liquidity risk, the main reasons for its occurrence, and is characterizes the importance of its management process. Considering the method of calculating intra indicators of the liquidity risk, the author makes suggestions on how to minimize its consequences.
Keywords:banks, banking risks, risk management, liquidity risk, risk minimization, financial stability.
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Citation link: Abt V. S., Martynenko N. N. Liquidity risk in the context of a commercial bank's risk management and means of controlling them // Современная наука: актуальные проблемы теории и практики. Серия: ЭКОНОМИКА и ПРАВО. -2017. -№01. -С. 41-44 |
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