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The Assessment Procedure Of The Operational Risk Events

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  • Iulia Iuga

Abstract

A credit institution must establish a management framework of the operational risk. This framework must cover the appetite and tolerance to the operational risk of a credit institution, in accordance with the management policies of this risk, including the measure and method in which the operational risk is transferred outside the credit institution. The management framework of the operational risk should include policies and processes for the identification, assessment, monitoring and control/diminishing of the operational risk.

Suggested Citation

  • Iulia Iuga, 2009. "The Assessment Procedure Of The Operational Risk Events," Annales Universitatis Apulensis Series Oeconomica, Faculty of Sciences, "1 Decembrie 1918" University, Alba Iulia, vol. 1(11), pages 1-49.
  • Handle: RePEc:alu:journl:v:1:y:2009:i:11:p:49
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    References listed on IDEAS

    as
    1. Rainer Haselmann & Paul Wachtel, 2007. "Risk Taking by Banks in the Transition Countries," Comparative Economic Studies, Palgrave Macmillan;Association for Comparative Economic Studies, vol. 49(3), pages 411-429, September.
    2. Rafael La Porta & Florencio Lopez-de-Silanes & Andrei Shleifer & Robert W. Vishny, 1998. "Law and Finance," Journal of Political Economy, University of Chicago Press, vol. 106(6), pages 1113-1155, December.
    3. Dale F. Gray & Robert C. Merton & Zvi Bodie, 2007. "New Framework for Measuring and Managing Macrofinancial Risk and Financial Stability," NBER Working Papers 13607, National Bureau of Economic Research, Inc.
    4. Paul Wachtel & Rainer Haselmann, 2006. "Institutions and Bank Behavior," Working Papers 06-16, New York University, Leonard N. Stern School of Business, Department of Economics.
    5. John P. Bonin & Paul Wachtel, 2005. "Dealing with Financial Fragility in Transition Economies," World Scientific Book Chapters, in: Douglas D Evanoff & George G Kaufman (ed.), Systemic Financial Crises Resolving Large Bank Insolvencies, chapter 10, pages 141-157, World Scientific Publishing Co. Pte. Ltd..
    6. de Haas, Ralph & van Lelyveld, Iman, 2006. "Foreign banks and credit stability in Central and Eastern Europe. A panel data analysis," Journal of Banking & Finance, Elsevier, vol. 30(7), pages 1927-1952, July.
    Full references (including those not matched with items on IDEAS)

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    More about this item

    Keywords

    operational risk; frequency and validation; risk levels; monitor; indicators.;
    All these keywords.

    JEL classification:

    • G21 - Financial Economics - - Financial Institutions and Services - - - Banks; Other Depository Institutions; Micro Finance Institutions; Mortgages
    • E58 - Macroeconomics and Monetary Economics - - Monetary Policy, Central Banking, and the Supply of Money and Credit - - - Central Banks and Their Policies
    • G24 - Financial Economics - - Financial Institutions and Services - - - Investment Banking; Venture Capital; Brokerage

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