The scope of the thesis is the review of the main opinions from the specialty theory regarding the bank risks management. After the introduction one succinctly approaches the bank risk notion and subsequently the main characteristics of the bank risks management are synthesised, Section two being concluded by a few practical approaches regarding the risk management. The final part of the thesis catches the conclusions that outline the fact that the bank risks management becomes, thus, a competence and competitiveness test not only for each bank at a time but also for the achievement of a viable and performing bank system
As a result of the fact that credit institutions are vulnerable to a risk of non-reimbursement of th...
The functions of the banking sector must be highlighted by ensuring the smooth operation of the inst...
I have chosen as a thesis topic "Credit risk management of banks". I present in the introductory par...
The study summarizes what it means banking risks, the main risk management strategies. The complexit...
Main approaches to building up a system for management of financial risks faced by banks are discuss...
The current stage in the development of the banking structure is characterized by serious changes in...
Banking sectors plays a crucial role in the management of the economy of a country. Risk refers to ...
The basis of this thesis is to change the non-standard problem situation into a standard situation b...
This thesis is devoted to the issue of risk management in the banking sector. It deals with methods ...
Risk management has attracted the interest of financial and banking institutions recently. The finan...
This master‘s thesis analyses the concept of risk in general, defines the commercial banks risk mana...
The goal is to evaluate the methods, procedures and ways of managing risk Czech banking entities. Th...
Risks are common to all aspects of banking. Therefore, not even neutral banking is risk proof. List ...
With the development of contemporary banking the banks’ exposure to different risks is increased. P...
Risk in banking business can not be avoided because the latter is strongly embedded in the very natu...
As a result of the fact that credit institutions are vulnerable to a risk of non-reimbursement of th...
The functions of the banking sector must be highlighted by ensuring the smooth operation of the inst...
I have chosen as a thesis topic "Credit risk management of banks". I present in the introductory par...
The study summarizes what it means banking risks, the main risk management strategies. The complexit...
Main approaches to building up a system for management of financial risks faced by banks are discuss...
The current stage in the development of the banking structure is characterized by serious changes in...
Banking sectors plays a crucial role in the management of the economy of a country. Risk refers to ...
The basis of this thesis is to change the non-standard problem situation into a standard situation b...
This thesis is devoted to the issue of risk management in the banking sector. It deals with methods ...
Risk management has attracted the interest of financial and banking institutions recently. The finan...
This master‘s thesis analyses the concept of risk in general, defines the commercial banks risk mana...
The goal is to evaluate the methods, procedures and ways of managing risk Czech banking entities. Th...
Risks are common to all aspects of banking. Therefore, not even neutral banking is risk proof. List ...
With the development of contemporary banking the banks’ exposure to different risks is increased. P...
Risk in banking business can not be avoided because the latter is strongly embedded in the very natu...
As a result of the fact that credit institutions are vulnerable to a risk of non-reimbursement of th...
The functions of the banking sector must be highlighted by ensuring the smooth operation of the inst...
I have chosen as a thesis topic "Credit risk management of banks". I present in the introductory par...