MODELING OF RISK MANAGEMENT IN BANKING SECTOR

The article presents a critical review of current methods and models of risk management in the banking sector. The urgency ofdeveloping the model (mathematical) toolsis shown. Particular attention is paid toassessment models of the credit and operational risks and their signifi cance. This work also...

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Bibliographic Details
Published in:Статистика и экономика
Main Authors: Irina N. Mastyaeva, Ruzan E. Mirzahanyan
Format: Article
Language:Russian
Published: Plekhanov Russian University of Economics 2016-08-01
Subjects:
Online Access:https://statecon.rea.ru/jour/article/view/394