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Concentration risk management in credit and financial sphere

Abstract

Concentration risk management is included in the bank risk management system functioning in accordance with the regulatory requirements of the Bank of Russia and the provisions of the intrabank document «Policy of the bank risk management with regard to the internal procedures of assessment of capital adequacy» The paper presents the basis of procedures for formation of concentration risk management algorithm in a commercial bank.

About the Authors

Yu. N. Yudenkov
Lomonosov Moscow State University
Russian Federation


R. V. Pashkov
«Petrol» JSC
Russian Federation


References

1. Пашков Роман, Юрий Юденков, Альтернативы стратегии развития в кризис, Бухгалтерия и банки, 2015, № 12. - С. 36-41.

2. Интернет-технологии в банковском бизнесе: перспективы и риски: учебно-практическое пособие / Ю.Н.Юденков и др.; предисл. чл-корр. РАН А.С.Сигова. - М.: КНОРУС, 2013.

3. Киевский В. Векторы развития. «Банковское дело в Москве», № 10, октябрь 2006.

4. Кох Тимоти У. Управление банком: пер. с англ. В 5-ти книгах, 6-ти частях. - Уфа: «Спектр», 1993.

5. Управление рисками и капиталом банка: монография / Р.В.Пашков, Ю.Н. Юденков. - М.: РУСАЙНС, 2016.


Review

For citations:


Yudenkov Yu.N., Pashkov R.V. Concentration risk management in credit and financial sphere. Scientific notes of the Russian academy of entrepreneurship. 2017;16(1):220-236. (In Russ.)

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ISSN 2073-6258 (Print)