Risk management and financial stability of banks

dc.contributor.authorKazbekova, K.M.
dc.contributor.authorKaldanovna, G.Zh.
dc.contributor.authorMyrzakhanova, D.J.
dc.contributor.authorDavletbayeva, N.B.
dc.date.accessioned2022-11-22T12:51:42Z
dc.date.available2022-11-22T12:51:42Z
dc.date.issued2022-07
dc.description.abstractObject: Increasing the role of the banking sector in the economy is one of the main tasks of the state. Kazakh-stan’s banking sector is one of the most important sectors of the economy, where the bank acts as a financial institution. Kazakhstan gained considerable success by overcoming the difficult period and achieving its own strategy and tactics of economic reforms after reaching financial stabilization of the peak of structural transformation. Methods: The methods of research, processing and analysis of financial, economic, mathematical, statistical, logi-cal information. Results: The main task of risk management is to minimize the negative impact of risks on the financial results of banks.Justification of the objective need for risk management in banks; identifyingthe importance of risk management in banks and prospects for its development; analysis of data, collected from using statistical methods of data processing and analysis; development of conclusions and recommendations on risk management organization in banks. Conclusions:Risk management identifies the bank management effectiveness, taking into account the factors of uncertainty that may have a negative or positive effect on the bank’s performance. The scientific value of the article is as follows:  specifies the peculiarities of risk management in the bank;  identifies risk management issues in banks and prospects for its developmentru_RU
dc.identifier.citationRisk management and financial stability of banks/Kazbekova K.M.[et al.] // Bulletin of the Karaganda University. «Economy» series. – 2022-№ 3(107). – pp.56-66.ru_RU
dc.identifier.issn2663-5097
dc.identifier.urihttps://rep.buketov.edu.kz//handle/data/14339
dc.language.isoenru_RU
dc.publisherKaragandy University of the name of acad. E.A. Buketovru_RU
dc.relation.ispartofseriesBulletin of the Karaganda University. «Economy» series.;№3(107)2022
dc.subjectrisk managementru_RU
dc.subjectmethodsru_RU
dc.subjectbankru_RU
dc.subjectloan portfolioru_RU
dc.subjectfinancialru_RU
dc.subjectstatisticalru_RU
dc.subjectmodelru_RU
dc.subjectcapital regulationru_RU
dc.subjectsystemic riskru_RU
dc.titleRisk management and financial stability of banksru_RU
dc.title.alternativeТәуекелдерді басқару және банктердің қаржылық тұрақтылығыru_RU
dc.title.alternativeУправление рисками и финансовая устойчивость банковru_RU
dc.typeArticleru_RU

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