期刊论文详细信息
Journal of Public Administration, Finance and Law
A SURVEY OF INTERNATIONAL FINANCIAL RISK MANAGEMENT SYSTEM
SUCHARITA Sanhita1  SAHOO Kalpana2  SETHI Narayan2 
[1] Department of Economics, School of Social Sciences, Central University of Jharkhand, India;Department of Humanities and Social Sciences, National Institute of Technology, India;
关键词: risk management;    value at risk;   
DOI  :  
来源: DOAJ
【 摘 要 】

Rising global competition, increasing deregulation, and introduction of innovative products have pushed financial risk management to the forefront of today's financial landscape. Identification of different types of risks and effective management of these risks in the international financial system would help to alleviate crisis, financial losses and also helpful to the long term success of all the financial institutions. The present study aims to analyze different types of risk management strategies and throws some light on challenges and opportunities regarding implementation of Basel-II in international financial system. The present paper also attempts to discuss the different methods and techniques used to measure financial risk management. There are three types of risk faced by all financial institutions: market risk, credit risk and operational risk. In commercial banking, credit risk is the biggest risk; in investment banking, its market risk; and in asset management, it’s operational risk.

【 授权许可】

Unknown   

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