Bibliographic description of the article
Barynkina, N. P. BANKING RISKS: EMERGENCY FACTORS AND METHODS OF MANAGING THEM / N. P. Barynkina, E. A. Suprunova, L. A. Rudi. – Text : direct // Innovative economics and society. – 2021. – № 1 (31). – С. 12-16

Abstract

The article reveals the issue of the versatility of risk, about the changed structure of banking risk factors. Comparative data of the crisis provoked by the pandemic and the crisis of 2014 are presented. The role of the legal aspect in minimizing risks is indicated. Conclusions are drawn about the possibilities of reducing risks in the banking sector.

References

risk
risk factors
legislation in the field of risks
long-term and short-term prospects for reducing risks

Authors

N. P. Barynkina —
Ph.D. in Economics, Associate Professor, Finance, credit, accounting and audit Department, OSTU.
E. A. Suprunova —
Ph.D. in Economics, Associate Professor, Finance, credit, accounting and audit Department, OSTU.
L. A. Rudi —
Ph.D. in Economics, Associate Professor, Finance, credit, accounting and audit Department, OSTU.