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ИННОВАЦИОННЫЕ ПОДХОДЫ К УПРАВЛЕНИЮ РИСКАМИ БАНКРОТСТВА В ФИНАНСОВОМ СЕКТОРЕ

Э.Э. Гурбанов

2025 · DOI: 10.58225/tim.2025-2-173-179
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TLDR

The study shows the potential of modern analytical systems for forecasting crises and optimizing management processes for forecasting crises and optimizing management processes to significantly reduce losses and secure financial stability.

Abstract

In this article, innovative approaches to managing bankruptcy risks in the financial sector are examined. The focus is on employing digital technologies, artificial intelligence, big data analytics, and blockchain to detect hidden risks promptly. The study shows the potential of modern analytical systems for forecasting crises and optimizing management processes. It reviews practical cases of leading banks, organizational changes, and measures to boost financial stability while ensuring effective risk management. Thus, these methods significantly reduce losses and secure financial stability.

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