INTERNATIONAL BANKING RISK MANAGEMENT IN GLOBALIZATION CONDITIONS
https://doi.org/10.21686/2413-2829-2015-2-82-88
Abstract
About the Author
David I. FilippovRussian Federation
PhD, Assistant Professor of the Department for Banking of the PRUE
6 Stremyanny Lane, Moscow, 117997, Russian Federation
References
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5. Filippov D. I. Osobennosti razvitiya finansovogo rynka Evropeyskogo soyuza v usloviyakh globalizatsii [Specific Development of Finance Market of the EU in Conditions of Globalization]. Moscow, Plekhanov Russian University of Economics, 2014. (In Russ.).
6. Global Competitiveness Report 2013–2014, World Economic Forum. Oxford, Oxford University Press, 2013.
7. Hartley Т. C. The Foundations of European Union Law: An Introduction to the Constitutional and Administrative Law of the EU. Oxford, Oxford University Press, 2010.
Review
For citations:
Filippov D.I. INTERNATIONAL BANKING RISK MANAGEMENT IN GLOBALIZATION CONDITIONS. Vestnik of the Plekhanov Russian University of Economics. 2015;(2):82-88. (In Russ.) https://doi.org/10.21686/2413-2829-2015-2-82-88