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Bank risk management

2018
In Chapter 3, we give an overview of the changes in banking risk management practices and policies implemented in the Malaysian banking sector after the Asian financial crisis period. The evolution of risk management policies and practices is presented in tandem with the International Basel standards ranging from Basel I to Basel III.
Rozaimah Zainudin   +2 more
openaire   +1 more source

Bank Credit Risk Management and Risk Culture

2017
The recent financial turbulence and the increase of the non-performing loans in banks’ credit portfolio highlighted the importance of the banks’ credit risk management and the need to spread the risk culture across the bank organization. This chapter provides an overview of the state-of-art of the credit risk management of a sample of Italian banks ...
Cucinelli D, Patarnello A
openaire   +2 more sources

Banking Risk Exposure [PDF]

open access: possible, 2008
In this paper we model banking risk exposure in a non-linear VAR framework. We included banking aggregates such as write-offs, provisions expenses, and total loans. Overall fitting of the model is good for chilean data. In and out sample forecasts are better than a simple ARIMA model.
Rodrigo Alfaro, Daniel Calvo, Daniel Oda
openaire  

Banking Risks And Risk Measurement

Montenegrin Journal of Economics, 2005
Banks are'risk mashines': they take risks,they transform them, and they embed them in banking products and services. The risk environment has changed drastically. Banking failures have been numerous in the past. Banks try to minimize their losses by managing risks with risk measurements for supporting decisions in the process we discussed above. Curent
openaire   +1 more source

Bank Equity Risk

SSRN Electronic Journal, 2023
Jens Dick-Nielsen   +2 more
openaire   +1 more source

Bank Credit Risk [PDF]

open access: possible, 1993
The paper evaluates the contribution industrial-sector data on loan losses could make to diversifying and pricing bank risk. It derives the mean, variance and cyclical sensitivity of sectoral provisions and write offs, then assesses implications for loan pricing; standards of capital adequacy; risk borne by sectorally-concentrated banks; and bank risk ...
openaire  

Analyzing Banking Risk

Ovidius University Annals, Economic Sciences Series, 2013
The banking activity focuses on achieving optimal results; however, like any other human activity, it is also susceptible to a broad range of risks. Banking risk as a prospective and probable event whose onset is likely to inflict losses, can be induced by clients with whom the bank enters into contract agreements, by factors associated with the ...
openaire  

Bank Risk Governance

SSRN Electronic Journal, 2023
Dietmar P. J. Leisen   +1 more
openaire   +1 more source

American Cancer Society nutrition and physical activity guideline for cancer survivors

Ca-A Cancer Journal for Clinicians, 2022
Cheryl L Rock   +2 more
exaly  

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