Вісник Київського національного університету імені Тараса Шевченка. Серія Економіка (Sep 2014)

STRATEGICAL APPROACHES TO THE RISK MENAGEMENT OF NON-VIALE BANKS' FUNCIONING AND DISTRESSED ASSETS SERVISING

  • V. Mishchenko,
  • S. Mishchenko

DOI
https://doi.org/10.17721/1728-2667.2014/163-10/8
Journal volume & issue
Vol. 10, no. 163
pp. 40 – 46

Abstract

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It was researched conditions of non-viable banks appearance, was characterized modern approaches to non-viable banks and distressed assets management, was determined the strategical approaches to withdrawal non-viable banks from the market, was grounded risk-management mechanism in stress conditions as a result of systemic disbalances in banking system of Ukraine and risks of non-viable banks functioning and distressed assets management.

Keywords