EFFICIENCY APPROACHES EVALUATION CONCERNING DOWNSIZING VOLATILITY CONSEQUANCES THAT INFLUENCE FINANCIAL BANK FIRMNESS

Journal Title: Молодий вчений - Year 2018, Vol 2, Issue 54

Abstract

The article deals with the necessity of taking complex measures in order to achieve the minimization of volatility consequences on the financial bank firmness by all market participants. The article shows various approaches as to how to provide the decrease of factors that result in the disruption of banks’ performance. The provided approaches are based on foreign and home market experience. The article also highlights critical analysis of regulatory authorities’ actions. We also carried out the analysis of banks’ tools that are aimed at minimization of volatility consequences on financial firmness. Based on the carried out research the author comes to his own conclusions and gives some recommendations concerning the highlighted problem.

Authors and Affiliations

E. S. Garbar

Keywords

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  • EP ID EP674843
  • DOI -
  • Views 76
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How To Cite

E. S. Garbar (2018). EFFICIENCY APPROACHES EVALUATION CONCERNING DOWNSIZING VOLATILITY CONSEQUANCES THAT INFLUENCE FINANCIAL BANK FIRMNESS. Молодий вчений, 2(54), -. https://europub.co.uk/articles/-A-674843