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FINANCIAL RISK MANAGEMENT IN THE BANKING SECTOR

Effectiveness of Financial Risk Management Framework: An Analysis of the Mauritian Banking Sector

Effectiveness of Financial Risk Management Framework: An Analysis of the Mauritian Banking Sector

... of Financial Risk Management contribute enormously to the mitigation of risk as well as striking a stable bal- ance between risk and ...Bramer Banking Corpo- ration Ltdwould have ...

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RISK MANAGEMENT IN BANKING SECTOR WITH REFERENCE TO SBI AND HDFC BANK

RISK MANAGEMENT IN BANKING SECTOR WITH REFERENCE TO SBI AND HDFC BANK

... 14 financial ratios and came to the conclusion that properly capitalized banks performed better with reduced operating costs and greater equity ...as management effectiveness, banks culture in subjecting ...

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OPERATIONAL RISK MANAGEMENT AND THE FINANCIAL SECTOR DEVELOPMENT: AN OVERVIEW

OPERATIONAL RISK MANAGEMENT AND THE FINANCIAL SECTOR DEVELOPMENT: AN OVERVIEW

... Operational risk has been the Basel committee on banking supervision as the risk of loss resulting from in-adequate or failed internal processes, people and systems or from external ...Operational ...

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DEVELOPING AN EFFICIENT RISK MANAGEMENT SYSTEM TO ASSESS KEY FACTORS IN SEIZING OPPORTUNITIES FOR BANKING AND FINANCIAL SERVICES SECTOR

DEVELOPING AN EFFICIENT RISK MANAGEMENT SYSTEM TO ASSESS KEY FACTORS IN SEIZING OPPORTUNITIES FOR BANKING AND FINANCIAL SERVICES SECTOR

... Discussing about the risks associated with the HR department, it is a common misconception that people often considers HR as the department which merely deals with hiring and firing of the staff and considers only the ...

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An Integrated Approach of customer relationship of management in Indian Banking Sector

An Integrated Approach of customer relationship of management in Indian Banking Sector

... the banking industry around the world has been undergoing a rapid ...greater risk for banks and other financial ...competitive banking market as one of the most attractive market after ...the ...

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Enterprise Risk Management and Firm Performance: An Integrated Model for the Banking Sector

Enterprise Risk Management and Firm Performance: An Integrated Model for the Banking Sector

... the banking sector to facilitate ERM measure- ...the banking sector with the relateds to the ‘CAMELS’ models for assessing the soundness of ...the financial soundness indicators of fi- ...

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Capital Adequacy And Risk Management: A Study Of The Nigerian Banking Sector

Capital Adequacy And Risk Management: A Study Of The Nigerian Banking Sector

... adequate financial information or collateral documentation; (c) undercapitalisation or insufficient working capital; and (d) irregular payment of principal and/or ...

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A Moderating Role of Board Characteristics on Enterprise Risk Management Implementation: Evidence from the Nigerian Banking Sector

A Moderating Role of Board Characteristics on Enterprise Risk Management Implementation: Evidence from the Nigerian Banking Sector

... of risk management, such as minimizing the volatility of returns and avoiding substantial concentrations of ...in financial institutions can affect the whole business of banking that comes ...

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The Impact Of Risk Management And Portfolio Diversification On The Mauritian Banking Sector

The Impact Of Risk Management And Portfolio Diversification On The Mauritian Banking Sector

... Undoubtedly, risk management is the cornerstone of prudent banking ...any financial and non-financial institutions around the ...on risk and about several mode of diversifying ...

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Determinants Influencing the Implementation of Enterprise Risk Management in the Nigerian Banking Sector

Determinants Influencing the Implementation of Enterprise Risk Management in the Nigerian Banking Sector

... Enterprise risk management is an organized, reliable and consistent process across the whole entity for identifying, evaluating, manipulating and reporting on opportunities and threats that impact on the ...

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Credit Risk and Financial Stability Under Controlling Effect of Financial Sector Development: A Study from Banking Sector of GCC Members

Credit Risk and Financial Stability Under Controlling Effect of Financial Sector Development: A Study from Banking Sector of GCC Members

... credit risk management, various studies have provided both theoretical and empirical ...credit risk management in large banking firms of ...the banking sector in recent ...

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Enterprise Risk Management in the US Banking Sector Following the Financial Crisis

Enterprise Risk Management in the US Banking Sector Following the Financial Crisis

... the financial crisis on the man- agement of risk in the largest US ...of risk exposure, risk consequences and risk management were examined using a content analysis of the 10-K ...

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Credit risk management practices in the banking sector in ethiopia

Credit risk management practices in the banking sector in ethiopia

... Credit risk management practices and poor credit quality continue to be a dominant cause of bank failures and banking crises ...the risk of borrowing in the dated, higher-yielding ...2008 ...

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Financial Sustainability of Indian Banking Sector

Financial Sustainability of Indian Banking Sector

... Sikdar Pallab, (2013), the paper identified the credit risk from the existing level of bank’s NPA. It also indicated the steps for recovery of loans and advances made by the public and private banks. The research ...

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Good Corporate Governance Rating and Bank Profitability in Indonesia: Evidence from Panel Data

Good Corporate Governance Rating and Bank Profitability in Indonesia: Evidence from Panel Data

... The Asian economic crisis occurred in early 1998, and it became the starting point for the importance of good governance both in the private and in the public sector. Johnson, Boone, Breach, and Friedman (2000) ...

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Value at Risk: Applications for Analysis and Disclosure in the U.S. Banking Sector

Value at Risk: Applications for Analysis and Disclosure in the U.S. Banking Sector

... market risk disclosures utilize a VaR process based on closed-form solutions and focus on the very short-term, usually one to thirty ...the banking sector, market risk disclosures utilize an ...

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Customer Relationship Management in ICICI Prudential Life Insurance Co Ltd

Customer Relationship Management in ICICI Prudential Life Insurance Co Ltd

... private sector financial services companies, and ranks among the top 3 private sector financial services and banking companies, in terms of net ...asset management and mutual ...

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Enterprise Risk Management And Corporate Governance In Indonesia Banking Industry

Enterprise Risk Management And Corporate Governance In Indonesia Banking Industry

... [15]on banking companies in Indonesia and Malaysia that size affects the adoption of ERM and large and small-sized companies were reported to have the likelihood of adopting ERM depending on the policy and ...

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Credit Risk Management and Organizational Performance at Commercial Banking Sector in Palestine

Credit Risk Management and Organizational Performance at Commercial Banking Sector in Palestine

... liquidity risk, credit risk, capitalization, loans, deposits, asset quality, operation efficiency, diversifications, capital adequacy, overhead cost and banks size are used as internal determinants, whereas ...

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Financial Development and Tax Revenue Nexus in Turkey

Financial Development and Tax Revenue Nexus in Turkey

... The empirical analysis of the study contains three steps, namely unit root, co-integration and the Granger causality tests. Determining the integration order of variables is a prerequisite for the co-integration tests. ...

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