GLOBAL BANKING CRISES: CAUSES, FACTORS AND IMPLICATIONS
https://doi.org/10.26794/2587-5671-2014-0-1-45-57
Abstract
About the Authors
Sh. U. NiyazbekovaRussian Federation
S. T. Kosmagambetova
Russian Federation
References
1. Luc Laeven, Fabian Valencia. Systemic Banking Crises: A New Database / IMF Working Paper WP/08/224, 2008.— p. 801.
2. Tanatova B. Forecast for recovery. URL: http://www.banker.kz/topic/30354-prognozna-vosstanovlenie/.
3. The role of credit and upgrading of lending activities: Monograph / Ed. OI Lavrushina.— M.: KnoRus 2012.— 272 pages (in Russian).
4. Credit expansion and credit management: Textbook for graduate students / Ed. O.I. Lavrushina. — Moscow: KnoRus, 2013.— 264 pages (in Russian).
5. Caprio, Gerald Jr., Daniela (1996). “Bank In solvency: Bad Luck, Bad Policy, or Bad Banking?” In: Michael Bruno and Boris Plescovic eds., Annual World Bank Conference on Development Economics, p. 5.
6. The results of work of EurAsEC member states banking systems in 2009 and prospects for the banking sector of the Community. “URL: http://www.evrazes.com (in Russian).
7. Interview with President of the National Bank of the Republic of Kazakhstan Mr. Marchenko. URL: http://prodengi.kz/publikacii/marchenko_rasskazal_pravdu_ob_ ekonomike_rk (in Russian).
Review
For citations:
Niyazbekova Sh.U., Kosmagambetova S.T. GLOBAL BANKING CRISES: CAUSES, FACTORS AND IMPLICATIONS. Finance: Theory and Practice. 2014;(1):110-121. (In Russ.) https://doi.org/10.26794/2587-5671-2014-0-1-45-57