Aleksandra Stankovska
Savica Dimitrieska
Elizabeta Stamevska


In this research paper we will explore the risk management in banking. Accurate risk measurement enables banks to develop a risk management strategy. Risk Management in banking programme provides an overview of risk governance and long-term value creation in light of new regulations, final Basel III (Basel IV) and special resolution regimes with bail-in debt.


risk management; banking industry; Basel III; Basel IV

JEL Codes: F65, G32, O16


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