Оценка эффектов шоков валютного рынка на показатели российской банковской системы
The article considers several scenarios of developments in the Russian banking system depending on the exchange rate dynamics. Calculations had carried out using the model of the Russian banking system based on general equilibrium principles and the econometric model which produces consistent scenarios of exogenous variables.
The review provides a detailed analysis of main trends in Russia's economy in 2013. The paper contains 6 big sections that highlight single aspects of Russia's economic development: the socio-political context; the monetary and credit spheres; financial sphere; the real sector; social sphere; institutional challenges. The paper employs a huge mass of statistical data that forms the basis of original computation and numerous charts.
The aim of the article is to model dynamics of risks and assess the cyclical effect of Basel II in the Russian banking system.
Argentina, the second largest country in Latin America, hardly recovered form the recession of the year 2001, faces the crisis again in 2008. First of all, the crisis affected the credit and banking sphere of the country, reducing the volumes of credit and deposit. But during the crisis, Argentina managed to carry out the restructuring of the financial system. The Global financial and economic crisis has shown the importance of the investors' confidence.
This work contains the analysis of quotes dynamics for the biggest five Russian banks. The investigation is based on the trend of daily quotes. Pieces of news concerning these banks were researched in order to determine the reasons for the changes of trends. Main news groups were compared with the quote dynamics to investigate the power of their influence. It allowed to find fundamental factors influencing the quote dynamics changes and to estimate the power of the impact.