METHODS OF ANALYZING AND ESTIMATING CREDIT RISK OF THE BANK IN THE RUSSIAN FEDERATION
https://doi.org/10.21686/2413-2829-2016-1-45-52
Abstract
About the Author
Bahrom A. TursunovRussian Federation
Post-Graduate Student of the Department for Banking of the PRUE
36 Stremyanny Lane, Moscow, 117997, Russian Federation
References
1. Alekseeva V. V., Dodonova I. V. Osobennosti otsenki kreditnogo riska na portfel'noy osnove [Evaluating Credit Risk at Portfolio Basis]. Materialy XXXVIII nauchno- tekhnicheskoy konferentsii po itogam raboty professorsko-prepodavatel'skogo sostava SevKavGTU za 2008 g. [Materials of the 38th Conference on Results of the Faculty Work in SevKavGTU for 2008], Vol. 3. Ekonomika. Stavropol', SevKavGTU, 2010. (In Russ.).
2. Andrianova E. P. Sovremennye podkhody k upravleniyu kreditnym riskom v kommercheskom banke [Modern Approaches to Managing Credit Risk in Commercial Bank]. Nauchnyy zhurnal KubGAU [KubGAU Journal], 2013, No. 87 (03). (In Russ.). Available at:
3. http://ej.kubagro.ru/2013/03/pdf/52.pdf
4. Kuz'micheva I. A., Podkolzina E. A. Sistema upravleniya bankovskimi riskami [The System of Bank Risk Management]. Fundamental'nye issledovaniya [Fundamental Research], 2014, No. 2 (25), pp. 5636–5638. (In Russ.).
5. Foshkin A. E. Upravlenie kreditnymi riskami banka kak mnogofaktornyy protsess [Managing Bank Credit Risks as a Multi-Factor Process]. Vestnik Rossiyskogo ekonomicheskogo universiteta imeni G. V. Plekhanova [Vestnik of the Plekhanov Russian University of Economics], 2014, No. 10 (76), pp. 72–78. (In Russ.).
Review
For citations:
Tursunov B.A. METHODS OF ANALYZING AND ESTIMATING CREDIT RISK OF THE BANK IN THE RUSSIAN FEDERATION. Vestnik of the Plekhanov Russian University of Economics. 2016;(1):45-52. (In Russ.) https://doi.org/10.21686/2413-2829-2016-1-45-52