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Finance and Credit
 

Macroregulation of Russian banking sector liquidity in crisis conditions

Vol. 19, Iss. 20, MAY 2013

Available online: 29 May 2013

Subject Heading: Banking

JEL Classification: 

Pika A.V. Graduate Student, Department “Banking”, the Novosibirsk State University of Economics and Management
milavelor@rambler.ru

The 1995, the 1998, the 2004 and the 2008 banking liquidity crises have been analyzed in the article. The results of this analysis make it possible to find and formulate the conditions of a banking liquidity crisis, which can be used as the indicator, signaling the presence or the lack of a crisis in the banking external environment. These conditions are also a sign that it’s necessary to take some crisis management measures. The conclusions are drawn in the article enable to continue creating crisis management mechanism for commercial bank’s liquidity regulation.

Keywords: commercial bank, bank liquidity, banking crisis, crisis conditions, macro-regulation, self-regulation

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ISSN 2311-8709 (Online)
ISSN 2071-4688 (Print)

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