RISK MANAGEMENT IN BANKING INDUSTRY
Aleksandra Stankovska
Savica Dimitrieska
Elizabeta Stamevska
Abstract
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.
Keywords
risk management; banking industry; Basel III; Basel IV
JEL Codes: F65, G32, O16
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