Building bank resilience through risk management competency development
Year of publication: |
2024
|
---|---|
Authors: | Koh, Eric H. Y. |
Published in: |
Banking resilience and global financial stability. - New Jersey : World Scientitfic, ISBN 978-1-80061-431-4. - 2024, p. 211-225
|
Subject: | Financial crisis | risk management | competency development | banks | integrated | resilience | uncertainty | pandemic | risk | actionable | Risikomanagement | Risk management | Finanzkrise | Bankrisiko | Bank risk | Coronavirus | Bank | Risiko | Risk |
-
Diab, Ahmed A., (2022)
-
Financial crises, concentration and efficiency : effects on performance and risk of banks
Sanfilippo Azofra, Sergio, (2013)
-
Bessler, Wolfgang, (2014)
- More ...
-
Market structure, institutional framework and bank efficiency in ASEAN 5
Chan, Sok-Gee, (2015)
-
Determinants of commercial banks' efficiency in Bangladesh : does crisis matter?
Banna, Hasanul, (2017)
-
Determinants of bank profitability : a comparative study of East Asia and Latin America
Rubi Ahmad, (2016)
- More ...