Development of the methodology of complex assessment of bank risk

Автор: Badretdinov R.R.

Журнал: Форум молодых ученых @forum-nauka

Статья в выпуске: 4 (80), 2023 года.

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In the article, based on the analysis of the performance indicators of Russian banks that have left the financial market, the inadequacy of existing methods for assessing bank risk was revealed. In this regard, a refined approach to the assessment of bank risk is proposed.

Bank risk, regulations, risk aggregation methods, financial market

Короткий адрес: https://sciup.org/140299566

IDR: 140299566

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