Template-Type: ReDIF-Article 1.0 Author-Name: Irina I. Mozhanova Author-Email: Byyf.byyf1970@yandex.ru Author-Workplace-Name: Volga Region State University of Service, Togliatti 445677, Samara region, Russia Author-Name: Olesya A. Antonyuk Author-Email: oleanat@mail.ru Author-Workplace-Name: Volga Region State University of Service, Togliatti 445677, Samara region, Russia Title: Improvement of Approaches to the Assessment of Financial Stability of the Bank Abstract: Stability problems of the Russian banking system deteriorated during the crisis of 2008, when a number of banks, as estimated by rating agencies highly resistant, lost their liquidity and were on the verge of bankruptcy, which could only escape by bank integrations. One of the cause with such a situation was biased assessment of the financial soundness of banks, which determined the need to improve the set of indicators, the use of which would not only give a retrospective evaluation, but predictions of stability in some perspective. Classification-JEL: G21, G32 Keywords: financial stability of the bank, indicators of financial stability, predictive assessment of the financial stability of the bank Journal: Finansovyj žhurnal — Financial Journal Pages: 141-146 Issue: 1 Year: 2014 Month: March File-URL: http://www.nifi.ru/images/FILES/Journal/Archive/2014/1/15_1_2014.pdf File-Format: Application/pdf Handle: RePEc:fru:finjrn:140115:p:141-146