Risk Management in Banking:The Tendency of Risk Management Development and Changes in Financial Crisis.
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 exposu...
| Main Author: | Zhang, Lan |
|---|---|
| Format: | Dissertation (University of Nottingham only) |
| Language: | English |
| Published: |
2011
|
| Online Access: | https://eprints.nottingham.ac.uk/25173/ |
Similar Items
Chinese Commercial Banks and the Global Financial Crisis: What was their Risk Management before the Crisis? How do they Change afterwards?
by: WANG, Yiqiao
Published: (2011)
by: WANG, Yiqiao
Published: (2011)
Risk Management and Risk Disclosure in a Period of Financial Crisis
by: Stylianou, Natasia
Published: (2009)
by: Stylianou, Natasia
Published: (2009)
Corporate governance and risk management in the financial industry: changes after the global financial crisis
by: Ojo, Abosede Omolola
Published: (2016)
by: Ojo, Abosede Omolola
Published: (2016)
EXPLORING RISK MANAGEMENT IN MALAYSIAN ISLAMIC BANKING – POST FINANCIAL CRISIS LENS
by: Aman, Nur Amiza
Published: (2012)
by: Aman, Nur Amiza
Published: (2012)
Risk Management in Financial Institutions before and after the financial crisis
by: Mohammad, Zia
Published: (2013)
by: Mohammad, Zia
Published: (2013)
Liquidity Risk Management of Large U.S Banks during the Financial Crisis of 2007 – 2009
by: Okocha, Ozioma
Published: (2014)
by: Okocha, Ozioma
Published: (2014)
Banks and The Global Financial Crisis: What Did They Say about Their Risk Management Before The Crisis? How Did This Change Afterwards? Use Information from Their Reports and Accounts
by: Kurian, John
Published: (2012)
by: Kurian, John
Published: (2012)
An Investigation into risk management within the banking industry: Have attitudes changed since the subprime mortgage crisis?
by: Pettit, Michael
Published: (2011)
by: Pettit, Michael
Published: (2011)
Extreme Risk Forecast for Quantitative Financial Risk Management
by: Zhang, Lequn
Published: (2022)
by: Zhang, Lequn
Published: (2022)
An intentional approach to risk management processes and methods and the impact of the recent financial crisis.
by: Protopapas, Nikolas
Published: (2008)
by: Protopapas, Nikolas
Published: (2008)
Managing foreign exchange risk: Malaysian experience with respect to the 1997 financial crisis
by: Choo, Foo Lim, et al.
Published: (2009)
by: Choo, Foo Lim, et al.
Published: (2009)
The impact of the financial crisis on the risk efficiency of the banking sector of Hong Kong.
by: Hardas, Radhika
Published: (2012)
by: Hardas, Radhika
Published: (2012)
Operational Risk Management in Financial Institutions
by: Zhang, Jiamin
Published: (2017)
by: Zhang, Jiamin
Published: (2017)
Chinese commercial banks’ risk management performance before and after financial crisis: evidence from cost and profit efficiency
by: Liu, Lian
Published: (2012)
by: Liu, Lian
Published: (2012)
Malaysian Perspectives on Managing Financial Crisis
by: Zhang, Teresa Qiao Wen
Published: (2009)
by: Zhang, Teresa Qiao Wen
Published: (2009)
China’s Response to the Financial Crisis and the Impacts on the Chinese Economy and Financial Markets: (A Risk Management perspective)
by: Gao, Shanshan
Published: (2012)
by: Gao, Shanshan
Published: (2012)
Comparing of pre- and post- financial crisis credit risk disclosure in banking institutions
by: YU, Tianyi
Published: (2011)
by: YU, Tianyi
Published: (2011)
Credit Risk Management and Financial Performance of Commercial Banks in the UK
by: Zhou, Hui
Published: (2022)
by: Zhou, Hui
Published: (2022)
Investigation of risk management and crisis management which is based on three cases of real-life business
by: YUANQIAN, ZHANG
Published: (2010)
by: YUANQIAN, ZHANG
Published: (2010)
Risk Disclosure During the Global Financial Crisis
by: Probohudono, A.N., et al.
Published: (2013)
by: Probohudono, A.N., et al.
Published: (2013)
Credit Risk Management in Chinese Banking Industry
by: Zhang, Lei
Published: (2006)
by: Zhang, Lei
Published: (2006)
Risk Management Practices and Financial performance of Islamic Banks: Malaysian Evidence
by: Mohd. Ariffin, Noraini, et al.
Published: (2011)
by: Mohd. Ariffin, Noraini, et al.
Published: (2011)
Risk management disclosure in islamic financial institutions in Malaysia: Pre and post financial crisis / Rosnadzirah Ismail … [et al.]
by: Ismail, Rosnadzirah, et al.
Published: (2012)
by: Ismail, Rosnadzirah, et al.
Published: (2012)
Chinese Commercial Banks Risk Management Practices:
A Research in China Banking Risk Management
by: Wang, Xiaoling
Published: (2006)
by: Wang, Xiaoling
Published: (2006)
Credit Risk Management and Profitability of Japan Commercial Banks
by: Zhang, Wenwen
Published: (2014)
by: Zhang, Wenwen
Published: (2014)
Did banks that survived the financial crisis demonstrate better risk governance than those that did not?
by: Rockley, Oliver
Published: (2010)
by: Rockley, Oliver
Published: (2010)
Developing a framework of Islamic bank operational risk management:
‘people risk’
by: Aisyah Abdul Rahman,, et al.
Published: (2015)
by: Aisyah Abdul Rahman,, et al.
Published: (2015)
The Relationship between the Risk Management Level and the Financial Performance in the Investment Banking Industry
by: Hu, Yuqin
Published: (2019)
by: Hu, Yuqin
Published: (2019)
Management accounting and risk management practices in financial institutions
by: Abdul Rasid, Siti Zaleha, et al.
Published: (2009)
by: Abdul Rasid, Siti Zaleha, et al.
Published: (2009)
Bank Risk and Industry Competition on Bank Profitability: Evidence from China after the global financial crisis (2009-2014)
by: Shi, Xiaolin
Published: (2016)
by: Shi, Xiaolin
Published: (2016)
The Causes of a Crisis, Crisis Management and Environmental Risks illustrated through the Buncefield Case Study
by: GEORGIOU, ANASTASIA MARIA
Published: (2009)
by: GEORGIOU, ANASTASIA MARIA
Published: (2009)
Determines of US banks’ profitability and the global financial crisis
by: Zhang, Lingfei
Published: (2019)
by: Zhang, Lingfei
Published: (2019)
Risk management in Indian Banking Sector
by: Rekhy, Nikita
Published: (2012)
by: Rekhy, Nikita
Published: (2012)
Risk Management in Commercial Banks in Cyprus
by: Mavrou, Athina
Published: (2009)
by: Mavrou, Athina
Published: (2009)
Financial development, institutional quality, and financial risk of conventional and Islamic banks
by: Saidi, Normaizatul Akma
Published: (2018)
by: Saidi, Normaizatul Akma
Published: (2018)
Liquidity risk management and financial performance in Malaysia: empirical evidence from Islamic banks
by: Mohd Ariffin, Noraini
Published: (2012)
by: Mohd Ariffin, Noraini
Published: (2012)
Risk Management in Banking Institutions: Comparison between Developed and Developing Countries
by: Wang, Han
Published: (2007)
by: Wang, Han
Published: (2007)
Risk management committee and financial instrument disclosure
by: Mohamat Sabri Hassan,, et al.
Published: (2012)
by: Mohamat Sabri Hassan,, et al.
Published: (2012)
Early afterdepolarisation tendency as a simulated pro-arrhythmic risk indicator
by: McMillan, Beth, et al.
Published: (2017)
by: McMillan, Beth, et al.
Published: (2017)
The investor decision in managing risk during pre and post global financial crisis in Malaysia / Fati Hah Najihah Nadzar
by: Nadzar, Fati Hah Najihah
Published: (2017)
by: Nadzar, Fati Hah Najihah
Published: (2017)
Similar Items
-
Chinese Commercial Banks and the Global Financial Crisis: What was their Risk Management before the Crisis? How do they Change afterwards?
by: WANG, Yiqiao
Published: (2011) -
Risk Management and Risk Disclosure in a Period of Financial Crisis
by: Stylianou, Natasia
Published: (2009) -
Corporate governance and risk management in the financial industry: changes after the global financial crisis
by: Ojo, Abosede Omolola
Published: (2016) -
EXPLORING RISK MANAGEMENT IN MALAYSIAN ISLAMIC BANKING – POST FINANCIAL CRISIS LENS
by: Aman, Nur Amiza
Published: (2012) -
Risk Management in Financial Institutions before and after the financial crisis
by: Mohammad, Zia
Published: (2013)