FINANCIAL RISK MANAGEMENT IN THE BANKING SECTOR
Effectiveness of Financial Risk Management Framework: An Analysis of the Mauritian Banking Sector
19
RISK MANAGEMENT IN BANKING SECTOR WITH REFERENCE TO SBI AND HDFC BANK
9
OPERATIONAL RISK MANAGEMENT AND THE FINANCIAL SECTOR DEVELOPMENT: AN OVERVIEW
11
DEVELOPING AN EFFICIENT RISK MANAGEMENT SYSTEM TO ASSESS KEY FACTORS IN SEIZING OPPORTUNITIES FOR BANKING AND FINANCIAL SERVICES SECTOR
14
An Integrated Approach of customer relationship of management in Indian Banking Sector
7
Enterprise Risk Management and Firm Performance: An Integrated Model for the Banking Sector
10
Capital Adequacy And Risk Management: A Study Of The Nigerian Banking Sector
13
A Moderating Role of Board Characteristics on Enterprise Risk Management Implementation: Evidence from the Nigerian Banking Sector
8
The Impact Of Risk Management And Portfolio Diversification On The Mauritian Banking Sector
12
Determinants Influencing the Implementation of Enterprise Risk Management in the Nigerian Banking Sector
15
Credit Risk and Financial Stability Under Controlling Effect of Financial Sector Development: A Study from Banking Sector of GCC Members
17
Enterprise Risk Management in the US Banking Sector Following the Financial Crisis
20
Credit risk management practices in the banking sector in ethiopia
11
Financial Sustainability of Indian Banking Sector
5
Good Corporate Governance Rating and Bank Profitability in Indonesia: Evidence from Panel Data
17
Value at Risk: Applications for Analysis and Disclosure in the U.S. Banking Sector
19
Customer Relationship Management in ICICI Prudential Life Insurance Co Ltd
25
Enterprise Risk Management And Corporate Governance In Indonesia Banking Industry
5
Credit Risk Management and Organizational Performance at Commercial Banking Sector in Palestine
10
Financial Development and Tax Revenue Nexus in Turkey
6