База данных: Статьи
Страница 1, Результатов: 4
Отмеченные записи: 0
1.

Подробнее
65
К 28
Kassenova, G. E.
Investment strategies of commercial banks in the securities market [Текст] / G. E. Kassenova, Y. Nurzhan // Транзитная экономика. - 2021. - №4. - Р. 108-113.
ББК 65
Рубрики: Economics.
Кл.слова (ненормированные):
investment portfolio -- commercial banks -- strategy -- financial market -- bond and stock market
Аннотация: Investment strategies of commercial banks in the securities market.
Держатели документа:
WKU.
Доп.точки доступа:
Nurzhan, Y.
К 28
Kassenova, G. E.
Investment strategies of commercial banks in the securities market [Текст] / G. E. Kassenova, Y. Nurzhan // Транзитная экономика. - 2021. - №4. - Р. 108-113.
Рубрики: Economics.
Кл.слова (ненормированные):
investment portfolio -- commercial banks -- strategy -- financial market -- bond and stock market
Аннотация: Investment strategies of commercial banks in the securities market.
Держатели документа:
WKU.
Доп.точки доступа:
Nurzhan, Y.
2.

Подробнее
65.261
K22
Kassenova, G. E
STATE REGULATION OF FINANCIAL MARKETS: WORLD EXPERIENCE AND NATIONAL PRACTISE [Текст] / G. E Kassenova, A. A Kabdresh // Транзитная экономика. - 2020. - №2. - с. 75-82
ББК 65.261
Рубрики: Финансы
Кл.слова (ненормированные):
financial Institution -- bank -- capital market -- protecting investors
Аннотация: The basic concepts of the securities market and models of its regulation, which have developed in international practice, are presented. The concept of information disclosure and the mechanism for its implementation in the primary and secondary markets are considered on the example of many countries. A country analysis of the organizationnal structures responsible for the regulation of the securities market and the derivatives market was carried out. A comparative analysis of the order of regulation of trading systems broker - dealer companies, commercial banks and other professional participants of the stock market is given. Developed and Emerging Markets Experience Revealed preventing manipulation, insider practices and other violations of the fair and equitable pricing mechanism.
Держатели документа:
ЗКУ им М. Утемисова
Доп.точки доступа:
Kabdresh, A. A
K22
Kassenova, G. E
STATE REGULATION OF FINANCIAL MARKETS: WORLD EXPERIENCE AND NATIONAL PRACTISE [Текст] / G. E Kassenova, A. A Kabdresh // Транзитная экономика. - 2020. - №2. - с. 75-82
Рубрики: Финансы
Кл.слова (ненормированные):
financial Institution -- bank -- capital market -- protecting investors
Аннотация: The basic concepts of the securities market and models of its regulation, which have developed in international practice, are presented. The concept of information disclosure and the mechanism for its implementation in the primary and secondary markets are considered on the example of many countries. A country analysis of the organizationnal structures responsible for the regulation of the securities market and the derivatives market was carried out. A comparative analysis of the order of regulation of trading systems broker - dealer companies, commercial banks and other professional participants of the stock market is given. Developed and Emerging Markets Experience Revealed preventing manipulation, insider practices and other violations of the fair and equitable pricing mechanism.
Держатели документа:
ЗКУ им М. Утемисова
Доп.точки доступа:
Kabdresh, A. A
3.

Подробнее
65
Б 19
Baktybai, B. A.
Current status and development of audit of securities transactions [Текст] / B. A. Baktybai, N. A. Gumar // Транзитная экономика. - 2023. - №2. - Р. 49-55.
ББК 65
Рубрики: Economics.
Кл.слова (ненормированные):
securities -- securities audit -- investor -- issuer -- international financial reporting standards -- current status -- development -- audit
Аннотация: This research focuses on the audit activity of securities transactions in the Republic of Kazakhstan.
Держатели документа:
WKU.
Доп.точки доступа:
Gumar, N.A.
Б 19
Baktybai, B. A.
Current status and development of audit of securities transactions [Текст] / B. A. Baktybai, N. A. Gumar // Транзитная экономика. - 2023. - №2. - Р. 49-55.
Рубрики: Economics.
Кл.слова (ненормированные):
securities -- securities audit -- investor -- issuer -- international financial reporting standards -- current status -- development -- audit
Аннотация: This research focuses on the audit activity of securities transactions in the Republic of Kazakhstan.
Держатели документа:
WKU.
Доп.точки доступа:
Gumar, N.A.
4.

Подробнее
65.262.1
K22
Kassenova, G. E.
INVESTMENT STRATEGIES OF COMMERCIAL BANKS IN THE SECURITIES MARKET [Текст] / G. E. Kassenova, Y. Nurzhan // Транзитная экономика. - 2020. - №4. - с. 108-113
ББК 65.262.1
Рубрики: Кредитная система
Кл.слова (ненормированные):
investment portfolio -- commercial banks -- strategy -- financial market -- bond and stock market
Аннотация: In modern market conditions, the classic deposit-credit strategy is no longer sufficient for commercial banks to survive in the financial market and achieve a sufficient level of profit. In addition to the loan placement strategy, it is necessary to adopt an adequate investment strategy that will contribute to the profitability, liquidity and security of the overall asset portfolio. Commercial banks, unlike investment banks, invest a smaller part of their assets in securities of various maturities on the financial markets. However, with increasing competition from banks and other non - banking institutions, the importance of the investment portfolio as an alternative that provides additional sources of income, provides liquidity, provides diversification of placements and reduces risk exposure is growing. Banks have a wide range of investment strategies at their disposal, which they can combine depending on their investment goals and risk aversion, such as passive and active strategy, ladder strategy, weight strategy etc. The aim of this article is to present the importance of the investment portfolio in commercial banks.
Держатели документа:
ЗКУ им М. Утемисова
Доп.точки доступа:
Nurzhan, Y.
K22
Kassenova, G. E.
INVESTMENT STRATEGIES OF COMMERCIAL BANKS IN THE SECURITIES MARKET [Текст] / G. E. Kassenova, Y. Nurzhan // Транзитная экономика. - 2020. - №4. - с. 108-113
Рубрики: Кредитная система
Кл.слова (ненормированные):
investment portfolio -- commercial banks -- strategy -- financial market -- bond and stock market
Аннотация: In modern market conditions, the classic deposit-credit strategy is no longer sufficient for commercial banks to survive in the financial market and achieve a sufficient level of profit. In addition to the loan placement strategy, it is necessary to adopt an adequate investment strategy that will contribute to the profitability, liquidity and security of the overall asset portfolio. Commercial banks, unlike investment banks, invest a smaller part of their assets in securities of various maturities on the financial markets. However, with increasing competition from banks and other non - banking institutions, the importance of the investment portfolio as an alternative that provides additional sources of income, provides liquidity, provides diversification of placements and reduces risk exposure is growing. Banks have a wide range of investment strategies at their disposal, which they can combine depending on their investment goals and risk aversion, such as passive and active strategy, ladder strategy, weight strategy etc. The aim of this article is to present the importance of the investment portfolio in commercial banks.
Держатели документа:
ЗКУ им М. Утемисова
Доп.точки доступа:
Nurzhan, Y.
Страница 1, Результатов: 4