The quality of bank risk management: Triggers of financial problems
Loading...
Date
Journal Title
Journal ISSN
Volume Title
Publisher
St Petersburg State University
Abstract
The significant decrease in the number of banks in the Russian Federation observed recently
and arising high social costs of liquidation and sanitation procedures underpin the need for
continuous improvement of early-warning systems of bankruptcy. The aim of the article is to
identify the key leading indicators of financial insolvency of banks. The study was conducted
on a sample of 49 banks from the cluster of medium and small banks in the Moscow region with
a license revoked for economic reasons in the period from 2015 to the first half of 2016. The
results were tested on a sample of 32 banks, both active and with withdrawn license. We identified
the dependence of chosen leading indicators from a number of financial indicators displaying
the quality of capital, assets, yield, profitability and liquidity. The results could shed additional
light at the causes of financial problems of banks and improve the quality of risk
management.
Description
Citation
Khasyanova S. Yu., Tsyganova V. V. 2018. The quality of bank risk management: Triggers of financial problems. Russian Management Journal 16 (2): 187–204.