RISK MANAGEMENT IN BANKING INDUSTRY
RISK MANAGEMENT IN BANKING INDUSTRY
Author(s): Aleksandra Stankovska, Savica Dimitrieska, Elizabeta StamevskaSubject(s): Economy, Business Economy / Management
Published by: ЮГОЗАПАДЕН УНИВЕРСИТЕТ »НЕОФИТ РИЛСКИ«
Keywords: risk management; banking industry; Basel III; Basel IV
Summary/Abstract: In this research paper we will explore the risk management in banking. Accurate risk measurement enables banks to develop a risk management strategy. Risk Management in banking programme provides an overview of risk governance and long-term value creation in light of new regulations, final Basel III (Basel IV) and special resolution regimes with bail-in debt.
Journal: Предприемачество
- Issue Year: 6/2018
- Issue No: 2
- Page Range: 229-236
- Page Count: 8
- Language: English