An intentional approach to risk management processes and methods and the impact of the recent financial crisis.

Purpose In a first stage this research attempt to explored the phenomenon of financial crisis and the risk management procedures and methods of the banking industry. Secondly the author attempts to examine the risk management differences and similarities, in four different countries. . Design/met...

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Main Author: Protopapas, Nikolas
Format: Dissertation (University of Nottingham only)
Language:English
Published: 2008
Subjects:
Online Access:https://eprints.nottingham.ac.uk/22215/
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author Protopapas, Nikolas
author_facet Protopapas, Nikolas
author_sort Protopapas, Nikolas
building Nottingham Research Data Repository
collection Online Access
description Purpose In a first stage this research attempt to explored the phenomenon of financial crisis and the risk management procedures and methods of the banking industry. Secondly the author attempts to examine the risk management differences and similarities, in four different countries. . Design/methodology/approach The conducted research comprises, four (4) case studies, interviews and the creation of descriptive statistics as a complementary element for a more comprehensive understanding Findings no significant changes occur regarding the risk management framework of credit and market risk after the financial crisis period. Although, the crisis expose significant gaps of the econometric models that are currently perform in the Banking industry. Furthermore, the differences reveal the gap between developed and emerge countries.
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format Dissertation (University of Nottingham only)
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institution University of Nottingham Malaysia Campus
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language English
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publishDate 2008
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spelling nottingham-222152018-04-26T17:23:08Z https://eprints.nottingham.ac.uk/22215/ An intentional approach to risk management processes and methods and the impact of the recent financial crisis. Protopapas, Nikolas Purpose In a first stage this research attempt to explored the phenomenon of financial crisis and the risk management procedures and methods of the banking industry. Secondly the author attempts to examine the risk management differences and similarities, in four different countries. . Design/methodology/approach The conducted research comprises, four (4) case studies, interviews and the creation of descriptive statistics as a complementary element for a more comprehensive understanding Findings no significant changes occur regarding the risk management framework of credit and market risk after the financial crisis period. Although, the crisis expose significant gaps of the econometric models that are currently perform in the Banking industry. Furthermore, the differences reveal the gap between developed and emerge countries. 2008 Dissertation (University of Nottingham only) NonPeerReviewed application/pdf en https://eprints.nottingham.ac.uk/22215/1/08MAlixnp14.pdf Protopapas, Nikolas (2008) An intentional approach to risk management processes and methods and the impact of the recent financial crisis. [Dissertation (University of Nottingham only)] (Unpublished) Risk management Financial Crisis Credit Risk Market Risk
spellingShingle Risk management
Financial Crisis
Credit Risk
Market Risk
Protopapas, Nikolas
An intentional approach to risk management processes and methods and the impact of the recent financial crisis.
title An intentional approach to risk management processes and methods and the impact of the recent financial crisis.
title_full An intentional approach to risk management processes and methods and the impact of the recent financial crisis.
title_fullStr An intentional approach to risk management processes and methods and the impact of the recent financial crisis.
title_full_unstemmed An intentional approach to risk management processes and methods and the impact of the recent financial crisis.
title_short An intentional approach to risk management processes and methods and the impact of the recent financial crisis.
title_sort intentional approach to risk management processes and methods and the impact of the recent financial crisis.
topic Risk management
Financial Crisis
Credit Risk
Market Risk
url https://eprints.nottingham.ac.uk/22215/