The Russian economy risks in 2009: credit crunch,
inflation and globalization
Three fronts: the Russian economy in 2009 is faced
with three consequential threats - accumulation of
credit risks, strong inflation pressure and poor
quality of global involvement.
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Risk-management in management companies: from set of
instruments to systemic control, 2008
The trust management market development should be based
on risk-oriented system of the state regulation and the branch self-regulation.
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Banking risk-management: post-crisis knockout
The world financial crisis proved to be much more profound and lengthy
than was ever expected by anybody including bank risk-managers. The best way to
protect from risks in time of current ambiguity is to cut down credit
operations and go liquid to the maximum extent. The world commodity and stock
markets try to regain balance - making goals and purposes of risk-management
quite vague.
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