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<article article-type="research-article" dtd-version="1.3" xmlns:mml="http://www.w3.org/1998/Math/MathML" xmlns:xlink="http://www.w3.org/1999/xlink" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xml:lang="ru"><front><journal-meta><journal-id journal-id-type="publisher-id">uzria</journal-id><journal-title-group><journal-title xml:lang="ru">Ученые записки Российской академии предпринимательства</journal-title><trans-title-group xml:lang="en"><trans-title>Scientific notes of the Russian academy of entrepreneurship</trans-title></trans-title-group></journal-title-group><issn pub-type="ppub">2073-6258</issn><publisher><publisher-name>JSC “Publishing Agency “Science and Education”</publisher-name></publisher></journal-meta><article-meta><article-id custom-type="elpub" pub-id-type="custom">uzria-275</article-id><article-categories><subj-group subj-group-type="heading"><subject>Research Article</subject></subj-group><subj-group subj-group-type="section-heading" xml:lang="ru"><subject>ЭКОНОМИЧЕСКИЙ РОСТ: ПРОБЛЕМЫ И ПЕРСПЕКТИВЫ</subject></subj-group><subj-group subj-group-type="section-heading" xml:lang="en"><subject>ECONOMIC GROWTH: CHALLENGES AND PROSPECTS</subject></subj-group></article-categories><title-group><article-title>Финансовая стабильность и системный риск</article-title><trans-title-group xml:lang="en"><trans-title>Financial stability and system risk</trans-title></trans-title-group></title-group><contrib-group><contrib contrib-type="author" corresp="yes"><name-alternatives><name name-style="eastern" xml:lang="ru"><surname>Арсамакова</surname><given-names>А. А.</given-names></name><name name-style="western" xml:lang="en"><surname>Arsamakova</surname><given-names>A. A.</given-names></name></name-alternatives><email xlink:type="simple">alinaarsamakova@yandex.ru</email><xref ref-type="aff" rid="aff-1"/></contrib></contrib-group><aff-alternatives id="aff-1"><aff xml:lang="ru"><institution>ФГОБУ ВО «Финансовый университет при Правительстве Российской Федерации»</institution><country>Россия</country></aff><aff xml:lang="en"><institution>FGEBO HE «Financial University under the Government of the Russian Federation»</institution><country>Russian Federation</country></aff></aff-alternatives><pub-date pub-type="collection"><year>2015</year></pub-date><pub-date pub-type="epub"><day>13</day><month>08</month><year>2021</year></pub-date><volume>0</volume><issue>44</issue><fpage>23</fpage><lpage>31</lpage><permissions><copyright-statement>Copyright &amp;#x00A9; Арсамакова А.А., 2021</copyright-statement><copyright-year>2021</copyright-year><copyright-holder xml:lang="ru">Арсамакова А.А.</copyright-holder><copyright-holder xml:lang="en">Arsamakova A.A.</copyright-holder><license xml:lang="ru" license-type="creative-commons-attribution" xlink:href="https://creativecommons.org/licenses/by/4.0/" xlink:type="simple"><license-p>Данная работа распространяется под лицензией Creative Commons Attribution 4.0.</license-p></license><license xml:lang="en" license-type="creative-commons-attribution" xlink:href="https://creativecommons.org/licenses/by/4.0/" xlink:type="simple"><license-p>This work is licensed under a Creative Commons Attribution 4.0 License.</license-p></license></permissions><self-uri xlink:href="https://www.scinotes.ru/jour/article/view/275">https://www.scinotes.ru/jour/article/view/275</self-uri><abstract><p>Данная статья посвящена выявлению сущности категории системного риска, его проявлениям и способам его измерения в количественном и качественном отношении.</p></abstract><trans-abstract xml:lang="en"><p>This article is dedicated to reveal a matter of systemic-risk category, its loose and ways of quantity-quality changes.</p></trans-abstract><kwd-group xml:lang="ru"><kwd>мировой финансовый кризис</kwd><kwd>системный риск</kwd><kwd>финансовая стабильность</kwd><kwd>макро-экономические стресс-тесты</kwd></kwd-group><kwd-group xml:lang="en"><kwd>world financial crisis</kwd><kwd>systemic risk</kwd><kwd>financial stability</kwd><kwd>macroeconomic stress tests</kwd></kwd-group></article-meta></front><back><ref-list><title>References</title><ref id="cit1"><label>1</label><citation-alternatives><mixed-citation xml:lang="ru">Fassin Yves, Gosselin Derrick.The collapse of a European bank in the financial crisis: an analysis from strategic, stakeholder, ethical and governance perspectives. - Working Paper. - June 2011. - 2011/726. - http://wps-feb.ugent.be/Papers/wp_11_726.pdf.</mixed-citation><mixed-citation xml:lang="en">Fassin Yves, Gosselin Derrick.The collapse of a European bank in the financial crisis: an analysis from strategic, stakeholder, ethical and governance perspectives. - Working Paper. - June 2011. - 2011/726. - http://wps-feb.ugent.be/Papers/wp_11_726.pdf.</mixed-citation></citation-alternatives></ref><ref id="cit2"><label>2</label><citation-alternatives><mixed-citation xml:lang="ru">Моисеев С.Р. 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