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BUSINESS INFORM №6-2015

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32

Section: Finance, Money Circulation and Credit
UDC 336.717.8
Zhovtanetska Y. V.
The Mechanism of Crisis Management of Banks (p. 187 - 192)

The article is aimed to deepen the theoretical framework of crisis management in banks and to elaborate recommendations on improvement of the mechanism of crisis management in the banking sector. Developed on the basis of existing scientific approaches, the author's definition of the economic term «crisis management of bank» has been presented. Based on results of research by the author, components of the mechanism of crisis management of banks activities have been proposed, its forms, methods, leverages and tools have been specified at the macro and micro levels, with allocating the subject-object relations. This approach enables to use appropriate measures of crisis management with a view to the detection, prevention, neutralization and minimizing crisis developments and crisis situations, it can be used as both preventive and reactive form of crisis management. Prospect of further research in this area is the need to substantiate the specifics of impact of financial tools on activities of banking institutions, taking into account particularities of the transfer of assets and liabilities of troubled financial institutions, their capitalization and reorganization using forms of integration and separation, as well as by means of purchase and sale.
Keywords: crisis, crisis management, crisis management mechanism, reactive and preventive management
Fig.: 1. Bibl.: 12.

Zhovtanetska Yaryna V. – Postgraduate Student, Institute of Regional Research named after M. I. Dolishniy of the NAS of Ukraine (4 Kozelnytska Str., Lvіv, 79026, Ukraine)
Email: [email protected]

Article is written in Ukrainian
Downloads/views: 238

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Reference to this article:
Zhovtanetska, Yaryna V. (2015) “The Mechanism of Crisis Management of Banks.” Business Inform 6:187–192.


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