Reputation risk in banking: application for Ukraine
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Date
2018
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Sumy State University
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Abstract
The paper examines the reputation risks in banking. Soundly, that the reputation risk of a bank is a socioeconomic
category, which can serve as a quantitative assessment (indicator) of the level of public trust in the
bank, and is characterized by the present or potential risk for revenues and capital, the reasons of which are
both internal and external, and the consequences there is a deterioration in the financial condition, loss of the
client base and other circumstances that do not meet the expectations of the bank. The use of integral indicator
of reputational risk based on a combination of quantitative and ballistic estimation using taxonomic analysis
tools is proposed.
Keywords
reputation, risks, reputation index, banking
Citation
An. Buriak, Al. Artemenko. (2018). Reputation risk in banking: application for Ukraine. Financial Markets, Institutions and Risks, 2(2), 100-110. DOI: 10.21272/fmir.2(2).100-110.2018