Form of presentation | Articles in international journals and collections |
Year of publication | 2016 |
Язык | английский |
|
Daryakin Adel Aleksandrovich, author
Klaas Yana Arturovna, author
|
Bibliographic description in the original language |
Klaas, J.A., Daryakin, A.A. The indicative model of financial stability management of the banking sector / J.A. Klaas, A.A. Daryakin // Academy of Strategic Management Journal. – 2016. – Volume 15. – SpecialIssue2. – R. 43-49. |
Annotation |
During the latest decade, the problems of strengthening of the financial stability of the banking sector of Russia become especially topical in condition with increased connection between economical and financial spheres of activity, sharpening of competition at the market of banking products and services, as well as in connection with increasing number of financial transactions. At the same time, in conditions of financial markets' globalization and activation of transboundary process of formation of the world financial system, a significant influence on development and stability of the banking sector is caused by environmental factors. New challenges condition the necessity in extension of the researches on the content and directions of strengthening financial stability of credit organizations (De Haas and Van Lelyveld, 2014). This article is dedicated to the problem of an adequate assessment as an element of financial stability management of the banking sector. |
Keywords |
financial stability, banking sector, indicative model, correlational-regression analysis, prognosis, management |
The name of the journal |
Academy of Strategic Management Journal
|
URL |
https://www.scopus.com/inward/record.url?eid=2-s2.0-85008932547&partnerID=40&md5=d8b6ebdb864e2dfb75740268639e0a97 |
Please use this ID to quote from or refer to the card |
https://repository.kpfu.ru/eng/?p_id=150713&p_lang=2 |
Full metadata record |
Field DC |
Value |
Language |
dc.contributor.author |
Daryakin Adel Aleksandrovich |
ru_RU |
dc.contributor.author |
Klaas Yana Arturovna |
ru_RU |
dc.date.accessioned |
2016-01-01T00:00:00Z |
ru_RU |
dc.date.available |
2016-01-01T00:00:00Z |
ru_RU |
dc.date.issued |
2016 |
ru_RU |
dc.identifier.citation |
Klaas, J.A., Daryakin, A.A. The indicative model of financial stability management of the banking sector / J.A. Klaas, A.A. Daryakin // Academy of Strategic Management Journal. – 2016. – Volume 15. – SpecialIssue2. – Р. 43-49. |
ru_RU |
dc.identifier.uri |
https://repository.kpfu.ru/eng/?p_id=150713&p_lang=2 |
ru_RU |
dc.description.abstract |
Academy of Strategic Management Journal |
ru_RU |
dc.description.abstract |
During the latest decade, the problems of strengthening of the financial stability of the banking sector of Russia become especially topical in condition with increased connection between economical and financial spheres of activity, sharpening of competition at the market of banking products and services, as well as in connection with increasing number of financial transactions. At the same time, in conditions of financial markets' globalization and activation of transboundary process of formation of the world financial system, a significant influence on development and stability of the banking sector is caused by environmental factors. New challenges condition the necessity in extension of the researches on the content and directions of strengthening financial stability of credit organizations (De Haas and Van Lelyveld, 2014). This article is dedicated to the problem of an adequate assessment as an element of financial stability management of the banking sector. |
ru_RU |
dc.language.iso |
ru |
ru_RU |
dc.subject |
financial stability |
ru_RU |
dc.subject |
banking sector |
ru_RU |
dc.subject |
indicative model |
ru_RU |
dc.subject |
correlational-regression analysis |
ru_RU |
dc.subject |
prognosis |
ru_RU |
dc.subject |
management |
ru_RU |
dc.title |
The indicative model of financial stability management of the banking sector |
ru_RU |
dc.type |
Articles in international journals and collections |
ru_RU |
|