Risk management in the mechanism of ensuring bank's financial security
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Науковий ступінь
Рівень дисертації
Шифр та назва спеціальності
Рада захисту
Установа захисту
Науковий керівник/консультант
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Видавець
Kharkiv : V. N. Karazin Kharkiv national university
Анотація
Object of research is the banking system of China. Subject of research is the importance of bank financial security, main risks and challenges faced by banks, theoretical basis and organizational principles of financial risk management. Purpose of qualification master's work to provide theoretical support for improving the security of banks by analysing the risk management in the bank financial security guarantee mechanism. According to results of the research, it can be used as theoretical guidance and practical reference for banks to improve their financial security. The obtained results can be used to provide theoretical support for enhancing bank security through analysing risk management in the bank financial security guarantee mechanism. The results can be applied in various aspects such as understanding financial risk definition, classification, and evaluation methods; analysing China's banking industry situation formulating anti-crisis management and strategic management tools; and proposing policy suggestions for optimizing financial security guarantee mechanisms and strengthening risk management laws and regulations.
Опис
Scientific advisor: Utenkova Karina, doctor of economics, professor, department banking business and financial technologies
Бібліографічний опис
Tian Wei. Risk management in the mechanism of ensuring bank's financial security submitted by the applicant of higher education : master's qualification work : speciality 072 – Finance, banking, insurance and stock market : educational programme «Financial technologies and banking management» / Tian Wei ; scientific supervisor K. Utenkova. – Kharkiv : V. N. Karazin Kharkiv national university, 2024. – 106 p.
