Evolution of stress testing of financial institutions
The article raises the issues of developing a relevant tool for financial regulation and supervision – stress testing. Regulatory authorities use different types of testing to assess possible problems, as well as to model the response of supervised institutions to changes in system parameters. At pr...
Saved in:
Main Authors: | V. V. Kuznetsova, O. I. Larina |
---|---|
Format: | Article |
Language: | Russian |
Published: |
State University of Management
2023-12-01
|
Series: | Управление |
Subjects: | |
Online Access: | https://upravlenie.guu.ru/jour/article/view/668 |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
A Heatmap for Monitoring Systemic Financial Stability Risks in Ukraine
by: Adam Geršl, et al.
Published: (2022-06-01) -
Methods and Models of Market Risk Stress-Testing of the Portfolio of Financial Instruments
by: A. M. Karminsky, et al.
Published: (2015-08-01) -
SCIENTIFIC DISCUSSION ON THE ESSENCE OF STATE FINANCIAL REGULATION IN MODERN CONDITIONS
by: M. L. Dorofeev
Published: (2021-05-01) -
Credit Risk Management and Financial Performance: A Case of Union Bank Nigeria Limited
by: Chidinma Nwachukwu C.
Published: (2022-12-01) -
Risk Management and Financial Performance of Commercial Banks: A Case of Centenary Bank Kabale Branch, Uganda
by: Annah, Owomugisha
Published: (2022)