Форма представления | Статьи в зарубежных журналах и сборниках |
Год публикации | 2014 |
|
Вагизова Венера Ильдусовна, автор
Клаас Яна Артуровна, автор
|
Библиографическое описание на языке оригинала |
Klaas J., Vagizova V. Tools for assessing and forecasting financial stability of the commercial bank under conditions of instability // Investment Management and Financial Innovations.- 2014. - №4. |
Аннотация |
Investment Management and Financial Innovations |
Ключевые слова |
financial stability, credit institution, indicative model, indicators, coefficients, ratios, assets, liabilities, capital adequacy, profitability, liquidity. |
Название журнала |
Investment Management and Financial Innovations
|
Пожалуйста, используйте этот идентификатор, чтобы цитировать или ссылаться на эту карточку |
https://repository.kpfu.ru/?p_id=91305 |
Полная запись метаданных |
Поле DC |
Значение |
Язык |
dc.contributor.author |
Вагизова Венера Ильдусовна |
ru_RU |
dc.contributor.author |
Клаас Яна Артуровна |
ru_RU |
dc.date.accessioned |
2014-01-01T00:00:00Z |
ru_RU |
dc.date.available |
2014-01-01T00:00:00Z |
ru_RU |
dc.date.issued |
2014 |
ru_RU |
dc.identifier.citation |
Klaas J., Vagizova V. Tools for assessing and forecasting financial stability of the commercial bank under conditions of instability // Investment Management and Financial Innovations.- 2014. - №4. |
ru_RU |
dc.identifier.uri |
https://repository.kpfu.ru/?p_id=91305 |
ru_RU |
dc.description.abstract |
Investment Management and Financial Innovations |
ru_RU |
dc.description.abstract |
This article deals with the problem of an adequate assessment of credit organization financial stability. The authors developed the indicative model of assessment of the bank financial stability based on calculation of the integral indicator for solving this problem. Advantages of model are the high speed of analysis, accessibility for understanding, the possibility of use by a wide range of the interested users, and also comparison of credit organizations indicators. Use indicative model on a regular basis will allow not only to reveal problems of commercial banks, but also to take timely measures to eliminate them. We had approved this model for assessment of regional banks of the Republic of Tatarstan financial stability. Summarizing the results of analysis of financial stability of regional banks we can make up a conclusion about relative stability of the banking sector of the Republic of Tatarstan. |
ru_RU |
dc.language.iso |
ru |
ru_RU |
dc.subject |
financial stability |
ru_RU |
dc.subject |
credit institution |
ru_RU |
dc.subject |
indicative model |
ru_RU |
dc.subject |
indicators |
ru_RU |
dc.subject |
coefficients |
ru_RU |
dc.subject |
ratios |
ru_RU |
dc.subject |
assets |
ru_RU |
dc.subject |
liabilities |
ru_RU |
dc.subject |
capital adequacy |
ru_RU |
dc.subject |
profitability |
ru_RU |
dc.subject |
liquidity. |
ru_RU |
dc.title |
Tools for assessing and forecasting financial stability of the commercial bank under conditions of instability |
ru_RU |
dc.type |
Статьи в зарубежных журналах и сборниках |
ru_RU |
|