MECHANISMS FOR MANAGING DIGITAL ASSET RISKS IN DIGITAL BANKS

Authors

DOI:

https://doi.org/10.60078/2992-877X-2026-vol4-iss3-pp336-342

Abstract

This article examines the risks associated with digital asset trading in the operations of digital banks, as well as the mechanisms for managing these risks. The study analyzes modern tools for managing digital asset risks, including Digital Twin technology, predictive analytics methods, artificial intelligence technologies, and the RAROC model.

Keywords:

digital banks digital assets risk management cybersecurity

References

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How to Cite

Zunnunova , K. (2026). MECHANISMS FOR MANAGING DIGITAL ASSET RISKS IN DIGITAL BANKS. Economic Development and Analysis, 4(3), 336-342. https://doi.org/10.60078/2992-877X-2026-vol4-iss3-pp336-342