Abstract
The subject of the research is a variety of economic and organizational relations developing in the risk management process in the investment banking business. The purpose of the study is to develop and update the theoretical and practical provisions of the construction and operation of a risk management system on an integrated scale. The research methodology is based on a set of techniques aimed at studying and improving existing risk management systems in the course of investment lending. The results of the study confirm the importance of economic and managerial innovations in the investment banking business.
Translated title of the contribution | COMPLEX RISK MANAGEMENT SYSTEM IN INVESTMENT-BANKING BUSINESS |
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Original language | Russian |
Pages (from-to) | 469-472 |
Number of pages | 4 |
Journal | Финансовая экономика |
Issue number | 6 |
Publication status | Published - 2019 |
GRNTI
- 06.00.00 ECONOMY AND ECONOMIC SCIENCES
Level of Research Output
- VAK List