Improvement of the system of quantitative risk assessment indicators for financial companies performance

The article studies the existing methodological recommendations for risk assessment of the performance of financial institutions, participants of non-bank financial services market. In particular, attention is focused on the performance of financial companies, which are the largest in number of subj...

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Main Author: V. Shorokh
Format: Article
Language:English
Published: Simon Kuznets Kharkiv National University of Economics 2021-03-01
Series:Управління розвитком
Subjects:
Online Access:https://devma.com.ua/journals/t-19-1-2021/udoskonalyennya-sistyemi-kilkisnikh-pokaznikiv-otsinki-riziku-diyalnosti-finansovikh-kompaniy
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author V. Shorokh
author_facet V. Shorokh
author_sort V. Shorokh
collection DOAJ
description The article studies the existing methodological recommendations for risk assessment of the performance of financial institutions, participants of non-bank financial services market. In particular, attention is focused on the performance of financial companies, which are the largest in number of subjects of the non-banking market. The aim of the study is to develop an approach to risk assessment of financial companies’ performance. The methodological basis for achieving the aim is a systematic analysis of the existing provisions of the Regulator regarding the criteria for assessing the risk of the performance of financial institutions. The article studies in detail the state of the modern risk assessment system in accordance with the criteria developed by the Regulator, identifies the key shortcomings of the recommendations and suggests supplementing the existing list with performance assessment indicators, taking into account the experience of the previous Regulator. An analysis of the legislation was carried out regarding the presence in it of quantitative indicators of risk assessment of the performance of participants in the non-banking financial services market, which made it possible to propose an expanded list of criteria for achieving the aim of the study. The feasibility of the proposed system of quantitative indicators for assessing the risks of performance is confirmed by the existing actions of the Regulator, which partially coincide with the proposed provisions. The developed recommendations provide an opportunity to improve the risk assessment system both for inspections by supervisory authorities and for financial institutions seeking to strengthen preventive measures in their management
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spelling doaj.art-729b9637af464d968d722746085dece82024-04-16T06:29:33ZengSimon Kuznets Kharkiv National University of EconomicsУправління розвитком2413-96102663-23652021-03-01201814https://doi.org/10.57111/devt.19(1).2021.8-143Improvement of the system of quantitative risk assessment indicators for financial companies performanceV. ShorokhThe article studies the existing methodological recommendations for risk assessment of the performance of financial institutions, participants of non-bank financial services market. In particular, attention is focused on the performance of financial companies, which are the largest in number of subjects of the non-banking market. The aim of the study is to develop an approach to risk assessment of financial companies’ performance. The methodological basis for achieving the aim is a systematic analysis of the existing provisions of the Regulator regarding the criteria for assessing the risk of the performance of financial institutions. The article studies in detail the state of the modern risk assessment system in accordance with the criteria developed by the Regulator, identifies the key shortcomings of the recommendations and suggests supplementing the existing list with performance assessment indicators, taking into account the experience of the previous Regulator. An analysis of the legislation was carried out regarding the presence in it of quantitative indicators of risk assessment of the performance of participants in the non-banking financial services market, which made it possible to propose an expanded list of criteria for achieving the aim of the study. The feasibility of the proposed system of quantitative indicators for assessing the risks of performance is confirmed by the existing actions of the Regulator, which partially coincide with the proposed provisions. The developed recommendations provide an opportunity to improve the risk assessment system both for inspections by supervisory authorities and for financial institutions seeking to strengthen preventive measures in their managementhttps://devma.com.ua/journals/t-19-1-2021/udoskonalyennya-sistyemi-kilkisnikh-pokaznikiv-otsinki-riziku-diyalnosti-finansovikh-kompaniyrisk assessment systemrisk criteriaregulatorindicator systemfinancial companies and individual risksnon-bank financial services market
spellingShingle V. Shorokh
Improvement of the system of quantitative risk assessment indicators for financial companies performance
Управління розвитком
risk assessment system
risk criteria
regulator
indicator system
financial companies and individual risks
non-bank financial services market
title Improvement of the system of quantitative risk assessment indicators for financial companies performance
title_full Improvement of the system of quantitative risk assessment indicators for financial companies performance
title_fullStr Improvement of the system of quantitative risk assessment indicators for financial companies performance
title_full_unstemmed Improvement of the system of quantitative risk assessment indicators for financial companies performance
title_short Improvement of the system of quantitative risk assessment indicators for financial companies performance
title_sort improvement of the system of quantitative risk assessment indicators for financial companies performance
topic risk assessment system
risk criteria
regulator
indicator system
financial companies and individual risks
non-bank financial services market
url https://devma.com.ua/journals/t-19-1-2021/udoskonalyennya-sistyemi-kilkisnikh-pokaznikiv-otsinki-riziku-diyalnosti-finansovikh-kompaniy
work_keys_str_mv AT vshorokh improvementofthesystemofquantitativeriskassessmentindicatorsforfinancialcompaniesperformance