Исследование влияния факторов риска на финансовую устойчивость коммерческих банков
: магистерская диссертация

Tese do aluno: Master's Thesis

Resumo

Master's thesis is devoted to the study of the influence of risk factors on the financial stability of banks and the search for opportunities to improve the methodological tools for stress testing the banking sector. As a scientific novelty, an econometric model is proposed that allows stress testing (liquidity risk and credit risk) of individual commercial banks and the banking sector.
Data do prémio2022
Idioma originalRussian
Instituição de premiação
  • Ural Federal University
SupervisorЕлена Геннадьевна Шершнева (Supervisor)

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