STRATEGICAL APPROACHES TO THE RISK MENAGEMENT OF NON-VIALE BANKS' FUNCIONING AND DISTRESSED ASSETS SERVISING
It was researched conditions of non-viable banks appearance, was characterized modern approaches to non-viable banks and distressed assets management, was determined the strategical approaches to withdrawal non-viable banks from the market, was grounded risk-management mechanism in stress conditions...
Main Authors: | V. Mishchenko, S. Mishchenko |
---|---|
Format: | Article |
Language: | deu |
Published: |
Publishing Center "Kyiv University"
2014-09-01
|
Series: | Вісник Київського національного університету імені Тараса Шевченка. Серія Економіка |
Subjects: | |
Online Access: | http://bulletin-econom.univ.kiev.ua/wp-content/plugins/download-attachments/includes/download.php?id=1908 |
Similar Items
-
ASSETS AND LIABILITIES MANAGEMENT DURING THE CRISIS - A STUDY ON BANKS IN ROMANIA
by: GABAN LUCIAN, et al.
Published: (2017-07-01) -
An introduction to banking : liquidity risk and asset-liability management /
by: 185743 Choudhry, Moorad, et al.
Published: (2011) -
The Systemic Banking Crisis of 2014-2015 in Ukraine: Causal Relationship
by: Biletska Nataliya V., et al.
Published: (2016-02-01) -
Banking governance: New Approaches
by: Victor Mihăiţă Duţă
Published: (2016-11-01) -
Econometric Models for Quantifying the Impact of Macroeconomic Variables on the Configuration of Banking Assets and Liabilities
by: Eleodor-Alin MIHAI, et al.
Published: (2020-11-01)