Fundamentals of banking stability

Existing theoretical foundations for the formation of a stable banking system and consideration of the most important policy tools in the current conditions of the development of the world economy. Concept of financial stability of the banking system.

Подобные документы

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  • Presented regulations for assessments of credit risks in financial institutions. To provide sufficient measures for filling in enlarging gap in valuation documents at national level. World economic outlook: a survey of the international monetary fund.

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  • The main areas of recovery of the bank's activities in crisis conditions: increase in equity capital, additional financing, sale of assets, restructuring of liabilities. The plan to restore financial stability in the conditions of military aggression.

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  • Development of a risk assessment methodology in the context of information uncertainty. Application of methods for determining the level of risk of the bank in the lending market. The coordinate system of the relationship of the bank and its customers.

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  • Economic concepts in banking sector. Equilibrium in money market. Interest rate and it’s role in economy. The use of strategy Deposit multiplier. Methods to determine the ratio between reserves and deposits. The effects of changes in interest rates.

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  • The article presents one fixed-effect and two random-effect regression models detailing the directions and strength of influence of independent variables on dependent variables (INFLATION, UN- EMPL, GINI - indicators of macroeconomic stability).

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