UDC 336.71.078.3:330.131.7 Bobyl, V. V. (2012). Bankivs'kyy nahlyad na pidstavi otsinky ryzykiv [Bank Supervision Based on Risk Assessment]. Rehional'na ekonomika - Regional Economy, 64(2), 147-154. [in Ukrainian]. Sources: 6
Authors
ResumeThe models of financial control and stages of its realization are considered. The advantages of the bank control on the basis of risk evaluation are examined. The advantages and disadvantages of creation of a megaregulator on the basis of the National Bank of Ukraine are analyzed.
Keywords:bank control, megaregulator, risk-management, financial sphere
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