Кризите в банковия сектор – същност, фактори и емпирични изследвания
Crises In The Banking Sector – Nature, Factors, And Empirical Research
Author(s): Raya DragoevaSubject(s): Economy, Business Economy / Management
Published by: Стопанска академия »Д. А. Ценов«
Keywords: financial crises; bank crisis; bank sector
Summary/Abstract: The purpose of the article is to clarify the causes for the banking crisis. The banking sector is an important component of both the national and global economies. The study of phenomena and processes that can have a negative impact on the banking sector is essential for its proper functioning. One of these phenomena are crises. They are one of the most significant economic phenomena in modern conditions, which have a systemic character. It manifests itself on the entire financial system, incl. and on banking institutions. In recent years, the banking sector has faced serious and severe challenges, which are the basis for studying the banking crises and the reasons for their occurrence. The development leads to the following key conclusion: the presence of good risk management results in stability in the banking system.
Journal: Годишен алманах "Научни изследвания на докторанти"
- Issue Year: 2020
- Issue No: 16
- Page Range: 281-300
- Page Count: 20
- Language: Bulgarian