Zobrazeno 1 - 10
of 23
pro vyhledávání: '"A. M. Karminsky"'
Autor:
V. V. Lopatenko, A. M. Karminsky
Publikováno v:
Финансы: теория и практика, Vol 28, Iss 3, Pp 94-108 (2024)
The purpose of the study is to determine the influence of a business group on the assessment of the borrower’s creditworthiness, as well as to identify the most significant credit risk factors. Despite the fact that creditworthiness assessment is w
Externí odkaz:
https://doaj.org/article/5ee8677cb6d542d690b56c95dfc33de2
Autor:
E. G. Semyashkin, A. M. Karminsky
Publikováno v:
Финансы: теория и практика, Vol 25, Iss 3, Pp 35-52 (2021)
The study explores the influence of internal factors on the level of exports of products of the agro-industrial complexof the Russian Federation (AIC RF). The subject of the research is the competitiveness of export-oriented companies in the agro-ind
Externí odkaz:
https://doaj.org/article/5a32f812ef17441780d81fc6cce01506
Autor:
A. M. Karminsky, O. D. Khon
Publikováno v:
Vestnik MGIMO-Universiteta, Vol 0, Iss 1(58), Pp 169-185 (2018)
Regional banks are struggling with significant obstacles in the modern Russian economy. Among them are strong competition with major big banks, strong resource restrictions, tightening the Bank of Russia’s requirements, and quite rapid expansion of
Externí odkaz:
https://doaj.org/article/b689bbd5c65b4acd999ead792140c0d3
Autor:
A. M. Karminsky, E. V. Seryakova
Publikováno v:
Vestnik MGIMO-Universiteta, Vol 0, Iss 4(43), Pp 53-63 (2015)
Amid instability of financial markets and macroeconomic situation the necessity of improving bank risk-management instrument arises. New economic reality defines the need for searching for more advanced approaches of estimating banks vulnerability to
Externí odkaz:
https://doaj.org/article/561cee721011401faab0dad0d102a743
Autor:
A. M. Karminsky, E. V. Trofimova
Publikováno v:
Vestnik MGIMO-Universiteta, Vol 0, Iss 1(22), Pp 260-266 (2012)
Externí odkaz:
https://doaj.org/article/25417aa0991e4992bf6c9ec8b407a2e0
Publikováno v:
Financial Innovation, Vol 7, Iss 1, Pp 1-25 (2021)
Abstract The study empirically assesses how macroprudential policy interacts with systemic risk, industrial production, and monetary intervention on a global level from January 2006 to December 2018. We adopt the aggregate proxies of these variables,
Externí odkaz:
https://doaj.org/article/e87516cef36a41c690ef04fe99d7c000
Publikováno v:
Финансовый журнал, Vol 11, Iss No. 5, Pp 119-129 (2019)
Amid global financial instability timely identification and propagation of systemic risks within both national and international banking systems becomes essential. It implies that it is highly important to assess not only inner factors of systemic ba
Externí odkaz:
https://doaj.org/article/e969895be3434588a41a26341bce2e29
Publikováno v:
Procedia Computer Science. 199:339-345
Publikováno v:
Procedia Computer Science. 214:817-824
Publikováno v:
Business Informatics. 13:52-66
This paper is devoted to comparison of the capabilities of various methods to predict the bankruptcy of construction industry companies on a one-year horizon. The authors considered the following algorithms: logit and probit models, classification tr