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Проблемы развития банковского сектора в России
Путеводитель предпринимателя. 2012. № 15. С. 94-102.
Gvelesiani T., Гладкова В. Е.
The article deals with the problems of the banking sector resulting from the influence of both external and internal factors of the banking business. Suggests measures addressing these weaknesses and improve the competitiveness of banks.
Prosvirkina E. Y., Емельянова А. А., Финансовый менеджмент 2017 № 1 С. 72-83
This article is devotedto analysis of top management team heterogeneity of banks on the Russian market. Sample of the research consists of 178 banks, which represent well the Russian banking sector. Data about age, gender, education, and work experience of Executive Board members is collected from websites of banks. Team heterogeneity is analysed based on ...
Added: February 24, 2017
Volkova I., Никитина В. Ю., Научные ведомости Белгородского государственного университета. Серия: История. Политология. Экономика. Информатика 2016 № № 16 (237), вып. 39 С. 61-73
The article’s thesis deals with the main strategies of banking internationalization and specifics of
Russian banks in the internationalization process. The research analyzes the factors influencing the decision of
Russian banks to enter foreign markets of certain countries. It was found that the Russian banks decision to enter
foreign markets is increasingly influenced by factors related to the ...
Added: December 3, 2016
Khasyanova S. Y., Вохмянина Ю. Н., Банковское дело 2014 № 9(249) С. 30-35
In modern scientific studies and discussions of practitioners the introduction of countercyclical asset loss provisions in the banking sector is most discussed problem of macroprudential regulation of financial sector. In this article the expediency of introducing of this instrument of regulation in Russia was considered, take into account procyclicality of the banking sector and the ...
Added: September 29, 2014
Khasyanova S. Y., М. : НИЦ Инфра-М, 2015
Monograph by S. Khasyanova «Upgrading Banking Regulation and Supervision in Russia in the line with International Standards» is devoted to the study of the development of banking regulation and supervision in Russia on the basis of international principles and standards. The process of implementation of international principles and standards of banking regulation in the Russian ...
Added: December 16, 2015
Tabakh A. V., Podrugina A., Вестник УрФУ. Серия: Экономика и управление 2016 № 5 С. 734-752
A tendency to toughening financial regulation, integration of financial regulators into national and transnational is observed in the post-crisis period. On the one hand, it leads to homogeneity and harmonization of national and transnational financial regulatory systems. On the other hand, financial regulation toughening results in economic growth slowdown. Economic situation has a significant impact ...
Added: December 8, 2016
Khasyanova S. Y., Вестник Московского университета. Серия 6: Экономика 2018 № 6 С. 98-117
Recently, the concept (концепция) of the countercyclical regulation in the financial sector has become key for the implementation of macroprudential policies in many countries, while a countercyclical capital buffer of banks is becoming a primary tool of regulation. The purpose of this research is to study the appropriateness and specifics of the countercyclical capital buffer ...
Added: December 18, 2018
Dzhagityan E. P., Хейфец Б. А., Ткаченко А. А. et al., М. : ИНФРА-М, 2015
В работе дана характеристика современной внешнеэкономической по- литики, подробно проанализированы глобальные и региональные вызовы мировой экономики, показаны перспективы более четкого позиционирования России в мировом хозяйстве с учетом меняющейся глобальной среды, дано целостное изложение внешнеторговой, внешней энергетической и внешней инвестиционной политики как важных составляющих внешнеэкономической политики. Изложены основные принципы вычленения функций внешней валютной, кредитной и финансовой ...
Added: December 26, 2016
Солнцев О. Г., Pestova A., Mamonov M. E. et al., Журнал Новой экономической ассоциации 2011 № 4(12) С. 41-76
В статье подводится промежуточный итог исследованиям в области создания систем раннего оповещения о финансовом кризисе, осуществляющихся в Центре макроэкономического анализа и краткосрочного прогнозирования (ЦМАКП) с 2005 г. Система состоит из трех блоков: опережающие индикаторы отдельных видов рисков и сводный опережающий индикатор системного банковского кризиса; среднесрочное сценарное прогнозирование основных макроэкономических и финансовых показателей; стресс-тестирование кредитных рисков ...
Added: December 28, 2012
Mikhail Mamonov, Anna Pestova, Oleg Solntsev, World Finance Review 2012 No. May P. 51-53
The article reviews the measures of the Bank of Russia, adopted in response to a problem situation, characterized by three "points of tension": a sign of a new credit overheating, a significant reduction in the capital adequacy of banks and the growing problem of affiliated banks. Using the methodology of stress testing we concluded that ...
Added: March 15, 2013
Olkhovik V., Вестник Московского городского педагогического университета. Серия: Экономика 2017 № 1 (11) С. 72-78
The object of the article is the topical problem of regional economy - development of the tax mechanism of stimulation of available crediting by banks of subjects of the Russian Federation. The article discusses the mechanism of binding of taxable profit to the value of indicator of the current liquidity through the reserve on possible ...
Added: May 31, 2017
Khasyanova S. Y., Деньги и кредит 2013 № 6 С. 35-40
The aim of this work is to analyze the financial stability indicators of Russian banking sector over a period 2008–2012. The analysis based on data published and used by the International Monetary Fund for assessing financial stability of various countries. During the research the factors affecting the level and dynamics of analyzed indicators were identified. ...
Added: July 15, 2013
Zmeeva T., Levina M. S., М. : Юрайт, 2018
Учебник предназначен для студентов экономических вузов и факультетов, а также для специалистов в области экономики, менеджмента, права и социологии, владеющих базовыми знаниями французского языка на уровне А2-А2+ в соответствии с европейской классификацией.
Основные цели данного учебника научить работать с аутентичными текстами экономической тематики, обогатить словарный запас обучающихся базовыми социально-экономическими терминами, привить им профессионально-ориентированные умения и навыки, ...
Added: August 28, 2018
Mamonov M. E., Прикладная эконометрика 2010 № 4(20) С. 3-27
В данной работе исследуется влияние процессов концентрации и экспансии иностранных банков на уровень конкуренции в российском банковском секторе, оцененный в рамках широко распространенного подхода H-stat Панзара – Росса. На основе анализа панельных данных по выборке банков (покрывающей 85 % совокупных активов), с одной стороны, делается вывод о том, что банковский сектор устойчиво находится в состоянии ...
Added: December 28, 2012
Rozanova N. M., Баранов А. А., Terra Economicus 2015 Т. 13 № 3 С. 78-98
The article deals with risk management, risk culture and their trends in modern banking that are based on IT development. The specificity of credit institution business leads banks to high risk exposure, usually systemic one; the banking crises being good examples. The latest global financial and economic crisis of 2008-2010 showed weak aspects both in ...
Added: November 25, 2015
Khasyanova S. Y., Вопросы статистики 2020 Т. 27 № 4 С. 97-113
The last decade was characterized by the improvement of the financial systems’ monitoring mechanism at the national and international levels aimed at making effective decisions on financial stabilisation. The purpose of this study is to assess the sustainability of banking sectors of the leading economically developed and developing countries for the period 2009-2018, taking into ...
Added: September 13, 2020
Rozhentsova E. V., Saltykova A., Девяткова Т. М., Научно-исследовательский финансовый институт. Финансовый журнал 2021 Т. 13 № 1 С. 93-106
Due to economic instability there has been an increase in demand for unallocated metal accounts offered by Russian commercial banks since April 2020. Although opening unallocated metal accounts gives banks an opportunity to expand the range of their products, diversify income, attract new clients and retain old ones, most Russian banks do not provide such ...
Added: March 1, 2021
Novozhilova T. N., Яркин К. В., Финансы и кредит 2009 № 3(339) С. 10-18
Анализируются преобразования отношений собственности в банковском секторе России и ведущих зарубежных стран в услвоиях финансового кризиса. ...
Added: December 26, 2012
Khasyanova S. Y., Самсонов М. Е., Проблемы управления 2020 № 3 С. 40-48
The paper is devoted to the development of the mortgage securitization market in Russia. The aim of the study is to assess the average effect of mortgage securitization transactions on the performance of Russian banks that executed such transactions in the period from 2012 to 2018. The Propensity Score Matching methodology, which is applied for ...
Added: July 1, 2020
Змеёва Татьяна Егоровна, Levina M. S., М. : Юрайт, 2017
Учебное пособие предназначено для студентов, изучающих французский язык как язык специальности «экономика», а также для учащихся и специалистов в области менеджмента, права, социологии, прикладной политологии, владеющих знаниями французского языка на уровне А2 по Общеевропейской классификации уровней владения иностранным языком. Может быть полезно для тех, кто готовится к сдаче квалификационного экзамена на диплом Торгово-промышленной палаты г. ...
Added: September 27, 2017
Khasyanova S. Y., М. : ИНФРА-М, 2020
The book is devoted to assessment and management of banking risks based on international approaches. The application of the methods of assessment, management and risk minimization in commercial banks is considered both in the context of adaptation of the international recommendations and standards in the banking sector of the Russian Federation, as well as in ...
Added: December 6, 2020
Prosvirkina E. Y., Менеджмент в России и за рубежом 2013 № 1 С. 88-93
In this article the influence of publicly declarative values on the performance of top fifty banks in Russia is analyzed. For determination of correlations an index of corporate values (CV-Index) is calculated as well as relationship between this index and financial indicators of banks are examined in SPSS program. In order to calculate CV-Index the ...
Added: January 24, 2013
Dzhagityan E. P., Деньги и кредит 2017 № 7 С. 31-40
The processes of Eurasian regional consolidation imply mainstreaming of the EAEU member state banks in the integration processes. However, strengthening their integration potential as a factor of financial stability will largely depend on the consistency and soundness of the regional model of banking regulation in the ‘mini-Basel III’ framework. Heterogeneity of national regulatory regimes, protectionism-centered ...
Added: June 20, 2017
Гисин В. Б., Dzhagityan E. P., Экономика и управление: проблемы, решения 2017 Т. 4 (63) № 3 С. 59-63
The article deals with a model of the dynamics of aggregate banking assets to GDP in the Eurasian Economic Union member states based on the logistic equation. A fuzzy Mamdani model is applied to measure the extent to which this dynamics has an effect on Capital Adequacy Ration as a regulatory standard. Based on this ...
Added: June 20, 2017
Prosvirkina E. Y., Шокина А. В., Менеджмент и бизнес-администрирование 2017 № 3 С. 158-167
This article is devoted to the increasing role of woman in management of banks in Russia. Data collection is based on public information from 178 websites of banks as well as other sources. This research demonstrated that in 91% of banks at least one member of Executive Board is woman, and in 22,5% chairman of ...
Added: November 28, 2017