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Operational Risk in Financial Institutions
Details
This work is a literature review that elaborates on the topic of operational risk in financial institutions, its characteristics, measurement, management and underlying regulations. Can proper operational risk management decrease losses in financial institutions? Question that will be the heart of the book and answered accordingly in the conclusion based on secondary sources. In the first two chapters the concept and definition of operational risk will be described following by the third chapter elaborating on the regulatory requirements in the context of operational risk. In the fourth chapter the main tools of operational risk management will be introduced. Finally, in the fifth chapter three cases of operational risk failures were chosen in order to present the importance of problematic explained in preceding chapters.
Autorentext
In 2014 the author graduated from the University of Applied Sciences in Wiener Neustadt in Austria with a degree Bachelor of Arts in Business. During her last year she has completed an internship in the department of operational risk in a financial institution which inspired the content of this research.
Weitere Informationen
- Allgemeine Informationen
- GTIN 09783659606021
- Sprache Englisch
- Größe H220mm x B150mm x T5mm
- Jahr 2014
- EAN 9783659606021
- Format Kartonierter Einband
- ISBN 3659606022
- Veröffentlichung 29.09.2014
- Titel Operational Risk in Financial Institutions
- Autor Michaela Skacelova
- Untertitel Characteristics, measurement, management and underlying regulations
- Gewicht 119g
- Herausgeber LAP LAMBERT Academic Publishing
- Anzahl Seiten 68
- Genre Betriebswirtschaft