科技报告详细信息
Analyzing and Managing Banking Risk : A Framework for Assessing Corporate Governance and Financial Risk Management, Second Edition | |
Van Greuning, Hennie ; Brajovic Bratanovic, Sonja | |
Washington, DC:World Bank | |
关键词: BANKING RISK MANAGEMENT; CORPORATE GOVERNANCE; RISK MANAGEMENT; RISK ASSESSMENT; BALANCE SHEETS; | |
DOI : 10.1596/0-8213-5418-3 RP-ID : 20043 |
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学科分类:社会科学、人文和艺术(综合) | |
来源: World Bank Open Knowledge Repository | |
【 摘 要 】
This publication aims to complementexisting methodologies by establishing a comprehensiveframework for the assessment of banks, not only by usingfinancial data, but also by considering corporategovernance. It argues that each of the key players in thecorporate governance process (such as shareholders,directors, executive managers, and internal and externalauditors) is responsible for some component of financial andoperational risk management. Following a holistic overviewof bank analysis in Chapter 2, the importance of bankingsupervision in the context of corporate governance isdiscussed in Chapter 3. This chapter also considers thepartnership approach and the emerging framework forcorporate governance and risk management, as well as theidentification and allocation of tasks as part of the riskmanagement process. The framework for risk management isfurther discussed in Chapters 4 through 11.【 预 览 】
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