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Information × Registration Number 2120U000938, Article popup.category Стаття Title popup.author Волкова Н.І.Мухіна А.С. popup.publication 01-01-2020 popup.source_user Донецький національний університет імені Василя Стуса popup.source https://r.donnu.edu.ua/handle/123456789/2648 popup.publisher Вінниця: ДонНУ імені Василя Стуса Description Стаття у науковому виданні ДонНУ імені Василя Стуса Економiка i органiзацiя управлiння •№ 3 (39) 2020 The article considers the main financial risks inherent in JSC FUIB, namely: credit risks, liquidity risks, interest rate risks and currency risks. It is established that the cause of credit risk is the presence of problem and impaired debt; a prerequisite for liquidity risk is the excess of short-term resources over long-term; in recent years, JSC FUIB is prone to interest rate risk and the bank has a significant currency risk, the maximum level of which was observed in 2017. The necessity of building an economic-mathematical model for assessing the impact of risks on the financial stability of the bank is substantiated. This model will allow to determine which of the financial risks must be considered in the first place to ensure the financial stability of the bank. Regression analysis and special tests were performed using Microsoft Excel and Gretl, to confirm the quality of the model and the possibility of its use. The forecast of the financial stability index for the coming years is constructed, namely for 2020-2024, which shows a possible optimistic and pessimistic scenario. popup.nrat_date 2025-01-09 Close
Article
Стаття
Волкова Н.І.. :
published. 2020-01-01;
Донецький національний університет імені Василя Стуса, 2120U000938
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