Financial indicators of bank stability
The impact of the global financial crisis on the unpredictability of fluctuations on the stock exchanges and bankruptcy of banks. The emergence of new economic forms of development that reduce the unpredictability of financial market development.
Подобные документы
Analysis of the Fortal Declaration and the environment of global financial and credit institutions, including the BRICS of the New Development Bank. Aspects of overcoming the economic imbalances and risks of the BRICS countries in decision-making.
статья, добавлен 23.02.2017- 2. Aggregation of Diverse Approaches to Improve Predictive Power of Bankruptcy Models for Russian Firms
Research predicting bankruptcy for Russian companies. A comparison of approaches to modeling financial difficulties for private companies with financial and non-financial variables. Features a variety of models before and after the economic crisis.
магистерская работа, добавлен 30.08.2016 The needs of domestic enterprises in the conditions of a full-scale invasion. Expressing the sequence of financial recovery in graphic form. Dynamics of bankruptcy indicators. Relocation of enterprises due to martial law, their financial stability.
статья, добавлен 15.09.2024Ensuring the development of enterprises as one of the conditions for economic stability of the country. Ensuring the optimal level of financial security, which is a condition for its effective functioning. Choosing a strategy for enterprise development.
статья, добавлен 15.09.2024Assessment of the current financial and economic situation in the country. State development of economic and industrial policies to overcome the financial crisis. Perfection of technologies and innovations, development of competitiveness in the country.
доклад, добавлен 23.01.2017The global financial crisis and its consequences. Unlimited issuance of US dollars and its implications for the economy. The causes of ineffective policies of the economic and financial sectors of the leading and developing countries of the world.
статья, добавлен 24.02.2019Determination of the impact of negative factors on the development of financial and economic results of joint-stock companies with the state part. Analysis of changes in the authorized capital from the minimum wage in these business associations.
статья, добавлен 06.10.2018The assessment of regional concentration of world capital exports and imports, allocation of financial assets, geographic structure of stock, bond and foreign exchange markets is conducted. Provide the best economic conditions for dealing operations.
статья, добавлен 30.10.2016Financial institutions are vulnerable to investigation, prosecution and litigation from every direction. The next crisis. Sponging boomers. The economic legacy left by the baby-boomers is leading to a battle between the generations. Mexican banks.
статья, добавлен 30.10.2012Financial status as one of the most important factors determining the development of local governments, its influence on all activities. The impact of an unfavorable financial situation on the limiting possibilities for the development of governments.
статья, добавлен 05.12.2018In the conditions of military aggression against Ukraine, the financial sector increases its assets, functions efficiently and smoothly. Over the past few years, the number of non-bank financial institutions on the market has significantly decreased.
статья, добавлен 15.09.2024The characteristic features of formation and development prospects the global financial system in our time. The definition of its main problems, preconditions and modern tendencies of its functioning and impact on the economy of world countries.
статья, добавлен 15.12.2017Description of the crisis of financial markets and the economic downturn after the war with Georgia. The study of tax reform policies of the state budget, consumer price inflation and bank failures. Characteristics of food and metallurgical industries.
реферат, добавлен 15.12.2010Identification of trends in the regional development of the economy of Ukraine. Substantiation of disproportions and risks that must be taken into account when forming a model of regional development and improving financial and economic stability.
статья, добавлен 24.05.2023Maintaining financial stability, economic growth, development and stabilizing the real sector. Use of all financial factors information relevant for inflation control and use of available resources, represents the best possible monetary policy practice.
статья, добавлен 28.09.2016- 16. Analysis of socio-economic development of regions after the first stage of decentralization reform
Analyzes the impact of the decentralization reform on the financial and economic indicators of the region and the country in general from the moment the reform began until. Consideration and characteristics changes in the revenues of local budgets.
статья, добавлен 26.12.2023 Study of the theoretical, methodological, and conceptual framework of global economic instability and its influence on the development of China. Causes for concern in financial circles relative to inflation. Reduction in the growth of China's economy.
статья, добавлен 21.06.2016Conditions of economic stability of the country. Study of the theoretical and practical foundations of ensuring the financial security of an enterprise as a strategic approach, guaranteeing the development of such an enterprise in the long term.
статья, добавлен 12.05.2024The impact of the financial crisis on the Republic of Kazakhstan. The effect of capital ratios on the stability of the financial system as a whole. The concept of harmonization of domestic and international approaches to equity capital in Kazakhstan.
статья, добавлен 28.09.2016The basic concept and terms in bankruptcy proceedings. Features of the application of the law on bankruptcy of Kazakhstan, аcceptance, deliberating and fraudulent. Organization of bankruptcy proceedings of insolvent enterprises. Financial planning-rescue.
курсовая работа, добавлен 02.12.2014Transformation processes that took place in the credit market of Ukraine under the influence of the modern financial and economic crisis. Have been analyzed problems and factors that caused the long stagnation of the credit activity in banking sector.
статья, добавлен 23.08.2018Clustering financial time series: an application to mutual funds style analysis. Clustering stock market data for portfolio management. Relation between financial market structure and the real economy. Correlation clustering in general weighted graphs.
статья, добавлен 10.05.2018Positive and negative factors of attracting foreign investment into the country's financial and economic system. Identification of partner countries that are the largest investors and attract financial resources to the socio-economic development.
статья, добавлен 15.04.2024The current economic crisis: the origins and causes of the main characteristics of the crisis. The crisis and its consequences for the global economy. USA in a global crisis. Ways of overcoming the US crisis. The way out of the global economic crisis.
статья, добавлен 22.04.2019General Characteristics of JSC "Intergas Central Asia". Financial risks. Vision and purpose of the JSC "Intergas Central Asia". Organizational structure. Analysis of key markets and Analysis of Financial Statements. Financial and economic indicators.
отчет по практике, добавлен 15.02.2016