Research Paper On Risk Management In Banking Sector

Click on any of the term papers to read a brief synopsis of the research paper. The essay synopsis includes the number of pages and sources cited in the paper.

  • Managing Risk

    This 9 page paper is written in three parts. The first part of the paper defines what is meant by risk in the business environment, how it can emerge and then looks at different types of risk. The second part of the paper considers risk management in the private sector considering how investments are assessed and risk managed. The last part of the paper looks at risks in the public sector, considering different types of risk and strategies used to manage them. The bibliography cites 10 sources.

  • Banks, Risk Measurement and Risk Management

    This 22 page paper looks at different aspects of risk measurement and management by banks. The paper starts by looking at the duration model, the gap or re-pricing model and the maturity model. The second part of the paper considers how and why liquidity is so important for banks. The last part of the paper considers the case of Barings Bank in the context of the previously discussed risks and looks at the way changes in the Basel Accord II approaches operational risk. The bibliography cites 23 sources.

  • Bank Problems in the Credit Crunch; Poor Performing Loans

    In 2009 the banks are suffering as a result of the credit crunch. The cause is not only the result of events within the house market; there are also defaults on small businesses and personal loans. This 6 page paper considers how and why the banks are now suffering these defaults, looking at issues such as the way bank became less risk adverse, the management of risk assessment, asymmetrical information and the role of governments and central banks. The paper focuses ion the US and the UK. The bibliography cites 7 sources.

  • A Comparative Analysis Of Saudi Arabia And US Banks Before And After The 2008 Crisis

    This 22 page paper looks at the banks and banking system of the US and Saudi Arabia, to examine the similarities and the differences. The paper starts by looking at the banking environment inn general including issues such as bank management, supervision, and social and economic condition. The paper then goes on to assess the assets and liabilities in the banking sector before and after June 2008, looking at the similarities and differences. The bibliography cites 16 sources.

  • Project Risk Management

    This 24 page paper looks at different aspects of risk management within project management. The first three questions consider the way that risks may be identified and assessed when looking at large project and how or why project management processes may fail to identify and quantify accurately all risks that are present. The paper then compares the PMBOK and Chapman and Wards SHAMPU approach to project risk management. The last section the paper uses risk management to identify risks with a given case study. The bibliography cites three sources.

Copyright © 2000-2021 The Paper Store Enterprises, Inc. & Fast Papers On-line.
All rights reserved. Search for your essay here.

U.S. based premium essay, research and
term papers service since 2000.