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The textbook is devoted to the issues of managing the financial stability of banks. The course is one of the main disciplines in the system of special disciplines that form the required level of masters in the speciality 072 «Finance, Banking and Insurance» and should ensure that students acquire knowledge and skills in fundamental and practical issues of the theory and practice of financial stability management. The purpose of teaching the discipline "Financial Stability Management of Banks" is to develop competencies in the field of banking, a system of knowledge on the theory and practice of financial stability management in banks; to acquire the ability to develop sound conclusions based on research results and to find ways to improve the financial stability of banks. These are the sections covered in the textbook, which makes it relevant.
The practical orientation of the textbook makes it useful for undergraduates of higher education institutions, students of centres and courses of advanced training, entrepreneurs, bank managers.