Management of bank risks in the conditions of the economic crisis

Authors

  • Gennadiy Georgievich Arunyants Kaliningrad State Technical University image/svg+xml
  • Armine Rubikovna Badeyan Kaliningrad State Technical University image/svg+xml

Keywords:

banking risk, bank risk identification, risk management, principles of banking risk management

Abstract

In the article are researched the main problems, tasks and principles of banking risk management as a special kind of activity; are analyzed methods of banking risk assessment; are considered the concept, purposes and problems of strategy of risk management in the conditions of an economic crisis.

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Author Biographies

  • Gennadiy Georgievich Arunyants, Kaliningrad State Technical University

    Dr. Sci. (Eng.), Full Prof., Department of Control Systems and Computer Engineering

  • Armine Rubikovna Badeyan, Kaliningrad State Technical University

    Postgraduate Student, Department of Control Systems and Computer Engineering

References

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Published

2014-09-30

How to Cite

Arunyants, G. G., & Badeyan, A. R. (2014). Management of bank risks in the conditions of the economic crisis. Eurasian Journal of Economics and Management, 3, 98-102. https://journals.vsu.ru/econ/article/view/9773

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