Bank risk management methods and instruments in the modern Russian economy
Автор: Odinokova Ju.A.
Журнал: Международный журнал гуманитарных и естественных наук @intjournal
Рубрика: Экономические науки
Статья в выпуске: 10-2 (49), 2020 года.
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That article is devoted to risk management methods and approaches learning and researching. The main instruments that are applicated by banks are considered using for risk mitigation of different transactions, its classification, instruments to mitigate different types of bank's risks. Some clue moments are figure out about the necessity of adequate application any of these methods and improvement the system of bank risk management for developing and optimal functioning the whole banking system.
Risk management methods, bank's risk, mitigation, optimization, diversification, hedging
Короткий адрес: https://sciup.org/170186826
IDR: 170186826 | DOI: 10.24411/2500-1000-2020-11135