A range of problems of financial sustainability of commercial bank and of its evaluation methods

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The article deals with the current problems in assessing the level of financial stability of Russian banks and proposes the ways to overcome them by using mathematical methods. The application of the variational networks allows to evaluate the current state of the bank and to judge the stability of its financial situation in the future.

Bank, financial stability, asset quality showing, risk, mathematical methods, variational networks

Короткий адрес: https://sciup.org/14970799

IDR: 14970799

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