Developing Crisis Management Model for Second-Tier Banks in the Post-Crisis Period of Economy Development in the Republic of Kazakhstan

dc.contributor.authorKomekbayeva, L.S.
dc.contributor.authorOrynbassarova, Y.D.
dc.date.accessioned2022-07-07T08:15:02Z
dc.date.available2022-07-07T08:15:02Z
dc.date.issued2016
dc.description.abstractIn the context of an ineffective crisis management system, the development of the banking sector of Kazakhstan in the post-crisis period is characterized by the impaired financial stability of second-tier banks. This situation creates the threat of systemic risk in the national banking system as a result of the critical slowdown in economy crediting by 49.5% and a reduction in bank assets by 47.2% of GDP. The article develops a diversified model of anti-crisis management aimed at increasing the financial stability of commercial banks. In contrast to other studies, the author’s approach is based on the argumentation of cause and effect links of financial, social and technical anti-crisis measures, the subordination of tactical objectives, which will provide an optimal level of financial stability of banks. Achieving the optimal level of financial stability of banks will determine the maximum rate of development of the national banking system in the post-crisis period. The objectivity and accuracy of the results is an advantage of this approach, it takes into account the specificity of the post-crisis period of the banking system functioning and is consistent with the international practice of strategic management.ru_RU
dc.identifier.citationKomekbayeva L.S. Developing Crisis Management Model for Second-Tier Banks in the Post-Crisis Period of Economy Development in the Republic of Kazakhstan/L.S. Komekbayeva, Y.D. Orynbassarova//American Journal of Applied Sciences. -2016. №13. Р.549-561.ru_RU
dc.identifier.urihttps://rep.buketov.edu.kz//handle/data/13493
dc.language.isoenru_RU
dc.publisherAmerican Journal of Applied Sciencesru_RU
dc.relation.ispartofseriesAmerican Journal of Applied Sciences;№13/2016
dc.subjectBanking System in the Post-Crisis Periodru_RU
dc.subjectCrisis Management Systemru_RU
dc.subjectFinancial Stability of the Bankru_RU
dc.subjectBusiness Processes of the Bankru_RU
dc.subjectBank’s Client Baseru_RU
dc.subjectBank Staffru_RU
dc.titleDeveloping Crisis Management Model for Second-Tier Banks in the Post-Crisis Period of Economy Development in the Republic of Kazakhstanru_RU
dc.typeArticleru_RU

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