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management of liquid market variables, which compose the assets of a bank, based on the statistical tool of PCA. The principal …
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The paper analyses the different approaches to measure the impact of funding and market liquidity risk in the economics and management of banks. The paper provides also an analysis of the organisational implications of the asset and liability management perspective of liquidity risk. Liquidity...
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The perceptions of Islamic banking professionals are surveyed through a questionnaire to explore whether the process of risk management mediates board involvement in risk management and risk management practices of Islamic banks in Malaysia and Egypt. The findings of this study identified that...
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Banks' fundamental concept relies on public trust. Since banks are also called the fiduciary financial institutions, public trust plays as an important role in the banking industry. This is mainly due to the fact that banks do not actually manage their own money. Instead, banks manage public...
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This study bridges the gap between theory and practice of risk management in banks incorporated in Saudi Arabia. The main objective of this study is to investigate the risk management process to assess the level of involvement of boards in risk management practices (RMPs). This study surveys...
Persistent link: https://www.econbiz.de/10013063843
On the issue of bank's diversification literature usually refers to revenue mix, geographical markets and M&A deals … research will be carried out in order to understand the actual effects of business diversification on the overall bank …
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conditions.In this paper we first of all analyse and identify several risks in a cooperative bank and then quantify and measure …
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