The development of methods of recovery of financial stability of credit institutions

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This article deals with the issues of qualitative development of methods of recovery of financial stability of credit institutions, which gained a new impetus after the financial and economic crisis of 2008. The prerequisites for the evolution of methods for recovering financial stability are analyzed in the article; future trend data are forecasting taking into account the current macroeconomic movements. In Russia and EC countries this development was accompanied by the emergence of national and supranational mechanisms of financial improvement, a fundamental change in the normative-legal view, the formation of new approaches to the analysis of financial stability of credit institutions.

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Bail-in, financial improvement, financial stability, bailout, methods of recovery of financial stability

Короткий адрес: https://sciup.org/14120252

IDR: 14120252

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