NEWSLETTER

Financial risks

Avanesova N.E., Kubrakova A.I. Development of recommendations concerning banks’ risk management improvement (p. 11-16)

Ageev V.I., Chernyshov P.V. Evolution of approaches to credit risks management in commercial banks

Andrianova E.P. Modern approaches to credit risk management in commercial bank

Arkhipenko S.V., Azovska A.O. Credit risk management as part of credit portfolio management PC CB «Privatbank» (p. 21-24)

Voinichenko P.P. Credit risks in the banks’ farming credit system

Golub V.M. Credit risks of commercial banks and their management methods

Dyakonov K.M. Conceptual basis of improvement of bank’s credit risk management mechanism

Kvasnitsksya R.S., Kunda N.V. Credit risk management in banking system

Krasavina L.N. Reduction of inflation risks as a factor of projected inflation index and price stability achievement

Lusins T.A. Fundraising as a modern form of non-commercial organizations financing

Lidzhieva A.A. Banking risks in 2013

Meshkova E.I. Interest rate risk: it’s sources, methods of assessment and hedging

Moldovan O.O. On the proprieties of public finances of Ukraine in the medium term  

Ormozadze M. Debts of Ukraine in 2014. What risks accompany cancellation of more than $6 bln. in foreign loans

Pidvysotskiy Y.V. Hybrid financial instruments in the practice of international business projects risk-management

Pidvysotskiy Y.V. Financial instability hypothesis H. Minsky: modern challenges for global economy

Stepanenko O.A., Tarakanovsky S.M. Analysis of credit risk indexes of commercial bank using modern modeling system ITHINK

Filatova Yu. M. Currency risks management system development in the enterprise

Sharov O.M., Sobolev B.V. On some issues to minimize risks of payments imbalance

Shora O.E. Methodology for assessing currency risks and establishing and monitoring limits on open currency position in the practice of commercial banks in Ukraine