In Soviet scientific literature, the problem of banking
Risk examine long and fairly productive. Among the scientists who
studying various aspects of banking risks include V.
Vitlinskiy, AP Vozhzhov, AV Dzyublyuk, G. T. Karchev, A.
Ryreeva V. Mishchenko, A. Frost, LO Prymostku, TS Smovzhenko,
A. Stepanenko, AP Yatsenuk et al.
However, the unsolved part of the problem is finding out
causes of banking and managing risks in connection with
use of complex structured products, providing
sufficient liquidity of banks and improving
regulation and supervision of banking.
The purpose of the article is to examine the causes of the credit crisis and
main areas of study to improve oversight and management
banking risks in the current conditions of the banking
of Ukraine.