As the market instability and uncertainty that economic and business environment become more complex than any time before. In real condition, there are significant financial volatility and distress that exist in financial institutions, particularly in those with large debt and commodity price exposures. Therefore risk management in recent decade has been largely required and improved to financial sectors. In this paper, we conduct content analysis through annual reports of four leading banks in UK to disclose the development tendency of risk management in UK and to identify the changes and effect in risk management before or after financial crisis. Meanwhile, it will introduce the various risks faced by banks and the definition of financial...
Banking industry differs from other industries and generates unique risk management challenges. Ther...
Recently, an increasing amount of studies which are related to the issue of risk disclosures have dr...
This dissertation examined risk disclosure in annual reports of sample banks using content analysis....
ABSTRACT With the global economy left in shatters after the events of the subprime mortgage crisis, ...
The financial crisis of 2007 has revealed important issues with the way banks manage their risks. Bo...
Abstract Credit risk is always treated as the major risk inherent in a bank's banking and trading ac...
All banking institutions in the process of providing financial services face financial risks. Failur...
Uncertainty makes economic and business environment more complex than ever. This is especially true ...
The recent international financial market turmoil has a great effect on the banking industry; accord...
The dissertation looks into the ever important topic of risk management. It aims to answer three bas...
Over the last two decades, the financial services industry has constantly been in the spotlight beca...
Operational risk is the oldest kind of risk facing by banks, and it emerges in almost every aspect o...
The study seeks to provide a comparative analysis of the operational risks management practices in U...
This study explores the concept of risk governance in financial institutions and finds that banks th...
A research topic detailing the various risk management techniques in place for the Indian Banking Se...
Banking industry differs from other industries and generates unique risk management challenges. Ther...
Recently, an increasing amount of studies which are related to the issue of risk disclosures have dr...
This dissertation examined risk disclosure in annual reports of sample banks using content analysis....
ABSTRACT With the global economy left in shatters after the events of the subprime mortgage crisis, ...
The financial crisis of 2007 has revealed important issues with the way banks manage their risks. Bo...
Abstract Credit risk is always treated as the major risk inherent in a bank's banking and trading ac...
All banking institutions in the process of providing financial services face financial risks. Failur...
Uncertainty makes economic and business environment more complex than ever. This is especially true ...
The recent international financial market turmoil has a great effect on the banking industry; accord...
The dissertation looks into the ever important topic of risk management. It aims to answer three bas...
Over the last two decades, the financial services industry has constantly been in the spotlight beca...
Operational risk is the oldest kind of risk facing by banks, and it emerges in almost every aspect o...
The study seeks to provide a comparative analysis of the operational risks management practices in U...
This study explores the concept of risk governance in financial institutions and finds that banks th...
A research topic detailing the various risk management techniques in place for the Indian Banking Se...
Banking industry differs from other industries and generates unique risk management challenges. Ther...
Recently, an increasing amount of studies which are related to the issue of risk disclosures have dr...
This dissertation examined risk disclosure in annual reports of sample banks using content analysis....