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Financial stability and system risk

Abstract

This article is dedicated to reveal a matter of systemic-risk category, its loose and ways of quantity-quality changes.

About the Author

A. A. Arsamakova
FGEBO HE «Financial University under the Government of the Russian Federation»
Russian Federation


References

1. 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.

2. Моисеев С.Р. Модернизация банковского регулирования и надзора: передовой опыт и отечественные перспективы. - Центр экономических исследований МФПА. - М., 2011.

3. Goodhart C.A.E. The Emerging New Architecture of Financial Regulation. - Speech. - 2011.

4. Billio Monica, Getmansky Mila, Lo Andrew W., and Pelizzon Loriana. Measuring Systemic Risk in the Finance and Insurance Sectors. - MIT Sloan School Wbrking Paper 4774-10 MIT Sloan School of Management. - 3/17/ 2010 - Режим доступа: http://www.bis.org/bcbs/events/sfrworkshop programme/billio.pdf.

5. Криворучко С.В., Дадашева О.Ю., Свирина Е.М., Эрдниева И.Г. Особенности регулирования системно-значимых финансовых институтов: зарубежный опыт и его применение в России: Коллективная монография. - М.: Финансовый университет, 2013.


Review

For citations:


Arsamakova A.A. Financial stability and system risk. Scientific notes of the Russian academy of entrepreneurship. 2015;(44):23-31. (In Russ.)

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ISSN 2073-6258 (Print)