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Risk Management In Banking Industry

Author

Listed:
  • Aleksandra Stankovska

    (European University - Republic of Macedonia, Skopje)

  • Savica Dimitrieska

    (European University - Republic of Macedonia, Skopje)

  • Elizabeta Stamevska

    (European University - Republic of Macedonia, Skopje)

Abstract

In this research paper we will explore the risk management in banking. Accurate risk measurement enables banks to develop a risk management strategy. Risk Management in banking programme provides an overview of risk governance and long-term value creation in light of new regulations, final Basel III (Basel IV) and special resolution regimes with bail-in debt.

Suggested Citation

  • Aleksandra Stankovska & Savica Dimitrieska & Elizabeta Stamevska, 2018. "Risk Management In Banking Industry," Entrepreneurship, Faculty of Economics, SOUTH-WEST UNIVERSITY "NEOFIT RILSKI", BLAGOEVGRAD, vol. 6(2), pages 229-236.
  • Handle: RePEc:neo:epjour:v:6:y:2018:i:2:p:229-236
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    Citations

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    Cited by:

    1. Miroslav Nedelchev, 2019. "Theories Of Executive Remuneration," Economics and Management, Faculty of Economics, SOUTH-WEST UNIVERSITY "NEOFIT RILSKI", BLAGOEVGRAD, vol. 16(1), pages 10-18.

    More about this item

    Keywords

    risk management; banking industry; Basel III; Basel IV;
    All these keywords.

    JEL classification:

    • F65 - International Economics - - Economic Impacts of Globalization - - - Finance
    • G32 - Financial Economics - - Corporate Finance and Governance - - - Financing Policy; Financial Risk and Risk Management; Capital and Ownership Structure; Value of Firms; Goodwill
    • O16 - Economic Development, Innovation, Technological Change, and Growth - - Economic Development - - - Financial Markets; Saving and Capital Investment; Corporate Finance and Governance

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