Khaidarshina G. A.

The Special Features of Monitoring of West-European Banks’ Financial Standing in Terms of Sovereign Debt Crisis

This paper represents key aspects of improvement of traditional approaches to monitoring West-European banks’ financial standing in terms of sovereign debt crisis that are based on the introduction of new principles of analysis as well as widening the spectrum of analytical tools. The paper also represents the author’s vision of sovereign debt crisis background, classification of possible sovereign debt crisis impacts on the financial standing of the West-European banks and its potential consequences for the banking sector of that region. In present conditions these aspects are recommended to be taken into consideration by the Russian banks within the
framework of their regular operating activity.