Fursova V. The management of financial risks in commercial Banks of Ukraine

Українська версія

Thesis for the degree of Candidate of Sciences (CSc)

State registration number

0407U000846

Applicant for

Specialization

  • 08.02.03 - Організація управління, планування і регулювання економікою

23-01-2007

Specialized Academic Board

Д 64.051.05

Essay

The object - the process of management of financial risks in commercial banks of Ukraine in the conditions of market economy; the aim of research - the basing ground conceptual approaches of increase of a management efficiency of financial risks; methods of research - dialectical; systems; matrix; statistical; new results - the mechanism of management of credit risk and the risk of liquidity in Ukrainian banks due to the use of the fuzzy-set theory was developed; the strategy of management of financial risks in the form of structural and logical schemes of asset securitization was offered; results - the conceptual approaches in management with financial risks in Ukrainian banks has been based ground, conclusions and results were used in bank "Basis"; sphere of use - management, planning and regulation of financial risks in financial-credit institutes.

Files

Similar theses