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2012 | OriginalPaper | Chapter

21. Risks Management Technology for a Bank

Author : E. D. Solozhentsev

Published in: Risk Management Technologies

Publisher: Springer Netherlands

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Abstract

We consider Risks management technologies for managing risk and efficiency of a bank: the logic and probabilistic (LP) risk model of problem solving failure; objects—tasks in problem of the bank management risk; the subjects in problem of the bank management risk.
A number of works on financial mathematics and bank business management deal with separate problems, including optimization problems. A general problem of bank management we consider below, namely Risks management technologies for managing the risk and efficiency of a bank. It is a difficult economic problem.
We carry out the diagram of Risks management technologies solving difficult economic problems was analyzed earlier in the problem solving subjects (the state, business, banks, scientists, public opinion), and objects—the tasks, forming the core of the problem are connected logically as events. It was shown that to solve this problem effectively without scientists I 3-technologies and public opinion is impossible.

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Metadata
Title
Risks Management Technology for a Bank
Author
E. D. Solozhentsev
Copyright Year
2012
Publisher
Springer Netherlands
DOI
https://doi.org/10.1007/978-94-007-4288-8_21