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METHODOLOGICAL ISSUES OF BANKING OPERATIONAL RISK MANAGEMENT

METHODOLOGICAL ISSUES OF BANKING OPERATIONAL RISK MANAGEMENT

The article highlights the issues of operational risk management methodology in commercial bank. The main sources of operational risks, risk indicators, operational risk assessment techniques.

Bibliographic Details
Main Author: David I. Philippov
Format: Article
Language:Russian
Published: Plekhanov Russian University of Economics 2016-08-01
Series:Statistika i Èkonomika
Subjects:
кредитные орга низации
банк
управление рисками
операционный риск
методология
ин дикаторы риска
банковская система
капитал
достаточность капитала
финансовый кризис
финансовый рынок
credit institutions
bank
risk-management
operational risk
methodology
risk indicators
banking system
capital
capital adequacy
financial crisis
financial market
Online Access:https://statecon.rea.ru/jour/article/view/853
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https://statecon.rea.ru/jour/article/view/853

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