Vestnik Samarskogo universiteta. Ekonomika i upravlenie Vestnik of Samara University. Economics and ManagementVestnik Samarskogo universiteta. Ekonomika i upravlenie Vestnik of Samara University. Economics and Management2542-04612782-3008Samara National Research University788110.18287/2542-0461-2019-10-3-%pUnknownESSENCE AND METHODS OF ASSESSING BANKING RISKSSharavinaValeriya V.<p>student of the Department of Innovation Economics of the Institute of Economics and Management</p>kafecon@mail.ruSamara National Research University211120191032107202021072020Copyright © 2020,2020<p>The article considers banking risks. Their types are given and methods for their assessment are also considered.</p>рискбанкбанковский рискметод оценкианализ рискаriskbankbanking riskassessment methodrisk analysis[1. Andriyanova A.A. Actual aspects of bank risk management. Journal of Economy and Entrepreneurship, 2015, no. 11–2 (64–2), pp 1052–1056. (In Russ.)][2. Barikenov E.S. Banking risks: analysis, methods of assessment and reduction. Vestnik magistratury, 2014,][no. 11–2 (38), pp. 57–59. Available at: https://www.elibrary.ru/item.asp?id=22499772. (In Russ.)][3. Interval assessment of a risk indicator. Available at: https://lektsii.net/3-52535.html (accessed 18.03.2019).][(In Russ.)][4. Vovk V.Ya., Khmelenko O.V. Crediting and control: textbook. Kyiv: Znannya, 2008, 463 p. (In Ukr.)][5. Gavrilenko M.A. The application of fuzzy set theory in risk assessment. Audit and financial analysis, 2013,][no. 5, pp. 75–81. URL: https://www.auditfin.com/fin/2013/5/2013_V_03_03.pdf. (In Russ.)][6. Urodovskikh V.N. Enterprise Risk Management: textbook. Moscow: Vuzovskii uchebnik, INFRA-M, 2017, 168 p. (In Russ.)][7. Management of modern companies: textbook. B. Milner and F. Liis (Eds.). Moscow: INFRA-M, 2007, 585 p. (In Russ.)][8. Struchenkova T.V. Using VAR methodology to assess bank risks. Banking, 2000, no. 5, pp. 28–31. (In Russ.)][9. Voloshin I.V. Bank risk assessment: new approaches: textbook. Kyiv: El'ga, Nika-Tsentr, 2011, 213 p.][(In Russ.)][10. Vabishchevich M.I. Modern methods for assessing banking risks. In: The banking system: sustainability and development prospects: collection of scientific articles of the sixth international research and practical conference on banking economics, PO Polessky State University, Pinsk, June 30, 2015. K.K. Shebeko [et al.] (Ed.). Pinsk: PolesGU, 2015, pp. 3–5. (In Russ.)][11. Gerasimova E.L. Credit Risk Analysis: Customer Rating. Finance and Credit, 2008, no. 17, p. 89. Available at: https://cyberleninka.ru/article/n/analiz-kreditnogo-riska-reytingovaya-otsenka-klientov. (In Russ.)][12. Samoylov E.V. Methodology for managing instant liquidity of a commercial bank. Upravlenie v kreditnoi organizatsii, 2007, no. 2, pp. 45–47. Available at: https://yandex.ru/turbo/s/wiseeconomist.ru/poleznoe/38995-metodika-upravleniya-mgnovennoj-likvidnostyu-kommercheskogo-banka. (In Russ.)]