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Assessment of the Balance Degree of Loan Companies Banking Policy. (2016). Simaeva, I K ; Mitrokhin, V V ; Artemyeva, S S.
In: European Research Studies Journal.
RePEc:ers:journl:v:xix:y:2016:i:3a:p:19-31.

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Cited: 6

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Cites: 6

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Cocites: 27

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Coauthors: 0

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  1. Nature and Classification of Costs of a Commercial Bank. (2018). , Germanyuk.
    In: European Research Studies Journal.
    RePEc:ers:journl:v:xxi:y:2018:i:special2:p:868-873.

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  2. Pricing Mechanism of Banking Products. (2018). Mussina, A ; Shakirova, J ; Albekova, S.
    In: European Research Studies Journal.
    RePEc:ers:journl:v:xxi:y:2018:i:2:p:665-677.

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  3. Effective Marketing Strategy for Regional Banks. (2017). Uksumenko, Alena Anatolievna ; Vorozhbit, Olga Yurievna ; Kuzmicheva, Irina Aleksandrovna.
    In: European Research Studies Journal.
    RePEc:ers:journl:v:xx:y:2017:i:4a:p:558-567.

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  4. The Diversification of Banking Capital Sources and Cash Flow Granularity in Merger and Acquisition Transactions. (2017). Natocheeva, Natalia Nikolaevna ; Rusanov, Yury Yuryevich ; Belyanchikova, Tatiana Viktorovna ; Rovensky, Yury Alexandrovich.
    In: European Research Studies Journal.
    RePEc:ers:journl:v:xx:y:2017:i:4a:p:501-514.

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  5. Implementing the Concept of Sustainable Development in Russia: Developing the Childhood Infrastructure. (2017). Kuchmaeva, Oksana Viktorovna ; Maksimova, Tatyana Pavlovna ; Mahova, Olga Anatolievna ; Maryganova, Elena Aleksandrovna.
    In: European Research Studies Journal.
    RePEc:ers:journl:v:xx:y:2017:i:3b:p:522-535.

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  6. Current Trends in the Development of Russia’s E-Commerce Sector. (2017). Gnezdova, Julia Vladimirovna ; Sharova, Svetlana Vladimirovna ; Yakutin, Yurii Vasil'Evich ; Semenov, Nikolai Nikolaevich ; Barilenko, Vladimir Ivanovich.
    In: European Research Studies Journal.
    RePEc:ers:journl:v:xx:y:2017:i:3b:p:472-483.

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References

References cited by this document

  1. Banking analyst portal (2015), Ratings of banks, http://analizbankov.ru/rating.php Fetisov, G.G. (2003), “Ustoychivost’ bankovskoy sistemy i metodologiya eyo otsenki [The stability of the banking system and the methodology of its assessment]”, Moscow: Ekonomika, p 393.
    Paper not yet in RePEc: Add citation now
  2. Evans, O., Leone, Alfredo M., Gill, M., & Hilbers, P. (2000), “Macroprudential Indicators of Financial System Soundness”, (49), https://www.imf.org/external/pubs/ft/op/192/OP192.pdf Carson, Carol S. & Ingves, S. (2003), “Financial Soundness Indicators”, (43), https://www.imf.org/external/np/sta/fsi/eng/2003/051403.pdf Greuning, H. Van & Bratanovic, Brajovic S. (2009), “Analyzing Banking Risk: A Framework for Assessing Corporate Governance and Risk Management”, https://openknowledge.worldbank.org/bitstream/handle/10986/2618/482380PUB0Anal 101OFFICIAL0USE0ONLY1.pdf?sequence=1, p 422.
    Paper not yet in RePEc: Add citation now
  3. Lai, A. (2002), “Modeling Financial Instability: A Survey of the Literature”, http://www.bankofcanada.ca/wp-content/uploads/2010/02/wp02-12.pdf, p 44.

  4. Lavrushin, O. I. (2014), “Ustoychivost’ bankovskoy sitemy i razvitie bankovskoy politiki [The stability of the banking system and the development of banking policy]”, М.: Knorus, p 280.
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  5. Villar, A. (2006), “Is financial stability policy now better placed to prevent systemic banking crises?”, http://www.bis.org/publ/bppdf/bispap28.pdf JSC-IB “KS BANK” (PJSC) (2014), “Disclosure of information”, http://www.ksbank. ru/about/disclosure/ Interregional Industrial and Construction Bank (2014), IFRS. http://mpsb.ru/ otchetnost/ PJSC “AKTIV BANK”, 2014, Reports. http://www.aktivbank.ru/info/annual_ reports/ V.V. Mitrokhin, S.S. Artemyev, I.K. Simaeva

  6. Zhukov, E. P. (2012), “Bankovskiy menedzhment [Bank management]”, Moscow: UNITYDANA, p 450.
    Paper not yet in RePEc: Add citation now

Cocites

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  3. A real options model for loan portfolios of actively traded Philippine universal banks. (2018). Trinidad, Fernando L ; Tan, Jackson J.
    In: Journal of Global Entrepreneurship Research.
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  4. Financial Fragility in Monetary Economies. (2016). Martin, Fernando ; Berentsen, Aleksander ; Andolfatto, David.
    In: 2016 Meeting Papers.
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  5. Assessment of the Balance Degree of Loan Companies Banking Policy. (2016). Simaeva, I K ; Mitrokhin, V V ; Artemyeva, S S.
    In: European Research Studies Journal.
    RePEc:ers:journl:v:xix:y:2016:i:3a:p:19-31.

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  6. Are systemic banking crises in developed and developing countries predictable?. (2016). Hamdaoui, Mekki.
    In: Journal of Multinational Financial Management.
    RePEc:eee:mulfin:v:37-38:y:2016:i::p:114-138.

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  7. Online Banking in Albania. (2015). Sherifi, Idaver .
    In: European Journal of Economics and Business Studies Articles.
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  8. Banking Ssystems, central banks and international reserve accumulation in East Asian economies. (2013). Shrestha, Prakash Kumar.
    In: Economics - The Open-Access, Open-Assessment E-Journal.
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  9. Banking systems, central banks and international reserve accumulation in East Asian economies. (2012). Shrestha, Prakash Kumar.
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  10. The Herd Behavior and the Financial Instability. (2012). Ionescu, Cristian .
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  11. Surveillance model of going concern in banking. (2012). Njoku, Jonathan .
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  12. How do financial crises affect commercial bank liquidity? Evidence from Latin America and the Caribbean. (2009). Moore, Winston.
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  13. Regulation and Banking Stability: A Survey of Empirical Studies. (2008). Tchana Tchana, Fulbert.
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  14. THE UNDERPINNINGS OF COUNTRY RISK ASSESSMENT. (2008). Schroeder, Susan K..
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  15. THE SAFETY NETWORK SYSTEM AND PROSPECTS FOR THE APPEARANCE OF A FINANCIAL CRISIS IN BOSNIA AND HERZEGOVINA. (2008). Plakalovic, Novo .
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  16. Forecasting domestic liquidity during a crisis: what works best?. (2007). Moore, Winston.
    In: Journal of Forecasting.
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  17. Regional and Global Responses to the Asian Crisis. (2007). Grenville, Stephen.
    In: Asian Economic Policy Review.
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  18. Contagion and the composition of Canadian banks foreign asset portfolios: do financial crises matter?. (2007). Santor, Eric .
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  19. Evolving banking systems in Latin America and the Caribbean: challenges and implications for monetary policy and financial stability. (2007). Bank for International Settlements, .
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  20. How likely are macroeconomic crises in the CIS?. (2006). Herz, Bernhard ; Bauer, Christian ; Karb, Volker .
    In: Research in International Business and Finance.
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  21. Central bank´s value at risk and financial crises: An application to the 2001 Argentine crisis. (2006). Nocetti, Diego.
    In: Journal of Applied Economics.
    RePEc:cem:jaecon:v:9:y:2006:n:2:p:381-402.

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  22. On the Stability of Different Financial Systems. (2003). Fecht, Falko.
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  23. On the Stability of Different Financial Systems. (2003). Fecht, Falko.
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  24. Crisis bancarias y contagio: evidencia empírica. (2003). Santor, Eric.
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  27. Financial Structure and Economic Growth: A Non-Technical Survey. (2002). Meh, Cesaire ; Dolar, Veronika.
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