Information × Registration Number 2117U002052, Article popup.category Книга Title popup.author popup.publication 01-01-2017 popup.source_user Донецький національний університет імені Василя Стуса popup.source https://r.donnu.edu.ua/handle/123456789/587 popup.publisher Description This article focuses on a number of issues concerning bank risks estimation. First, it defines the main purpose of risk management in banking. Also, it characterizes contemporary ap-proaches to defining the essence of economic security of a bank, as well as highlighting the internal and external factors affecting it. In addition, we introduce risk structure of Ukrain-ian banks and investigate the dynamics of their loan portfolio. We determine the amount of arrears in client loan portfolio of Ukrainian banks, to justify their level of income and expenses. Together with analysing the credit risk of PJSC CB “PrivatBank” and proposing risk reduction measures in Ukrainian banking system. popup.nrat_date 2025-05-12 Close
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published. 2017-01-01;
Донецький національний університет імені Василя Стуса, 2117U002052