Please use this identifier to cite or link to this item: https://elib.psu.by/handle/123456789/29344
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dc.contributor.authorKasevich, O.en
dc.contributor.authorStroganova, I.en
dc.date.accessioned2022-02-15T11:39:06Z-
dc.date.available2022-02-15T11:39:06Z-
dc.date.issued2021-
dc.identifier.citationKasevich, O. Approaches to standardizing the bank's risk management system / O. Kasevich, I. Stroganova // European and National Dimension in Research = Европейский и национальный контексты в научных исследованиях : electronic collected materials of XIII Junior Researchers’ Conference, Novopolotsk, May 17-21, 2021 : in 3 parts / Ministry of Education of Belarus, Polotsk State University ; ed. Dr. Yury Holubeu [et al.]. - Novopolotsk : PSU, 2021. - Part 2 : Economics. - P. 133-134.ru
dc.identifier.urihttps://elib.psu.by/handle/123456789/29344-
dc.description.abstractIn an unstable environment, the theoretical foundations and standards of the banking risk management system will help to avoid a significant negative deviation from the planned performance indicators of the bank as a result of the "implementation" of risks, and in a crisis - to avoid bankruptcy, to overcome the crisis situation with minimal losses.en
dc.language.isoenru_RU
dc.publisherПолоцкий государственный университетru_RU
dc.titleApproaches to standardizing the bank's risk management systemru_RU
dc.typeArticleru_RU
Appears in Collections:European and National Dimension in Research. Economics. 2021

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