This book, "Managing Risk in Banking: Strategies for Mitigating Risk and Ensuring Financial Stability," is a comprehensive guide to the different types of risks faced by banks and the strategies they can employ to manage those risks.
Through detailed analysis of credit risk, operational risk, market risk, liquidity risk, and integrated risk management, readers will gain an understanding of the key risks faced by banks and the methods used to mitigate those risks.
Through detailed analysis of credit risk, operational risk, market risk, liquidity risk, and integrated risk management, readers will gain an understanding of the key risks faced by banks and the methods used to mitigate those risks.
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