Research Paper On Risk Management In Banks

Click on any of the term papers to read a brief synopsis of the research paper. The essay synopsis includes the number of pages and sources cited in the paper.

  • Case Study Involving Bank of America

    In seven pages changes in risk management, assessment of risk, management strategies, and measurement along with Internet and e-banking developments are examined in this case study of Bank of America. Six sources are listed in the bibliography.

  • Risk Management Questions

    This 16 page paper answers a set of questions set by the student concerning risk management. Issues discussed include the types of data that may be recorded by an airline for risk management purposes, the risk management cycle, why risk management is important, the direct and indirect impact on profitability and the types of probability measures that are useful. The bibliography cites 7 sources.

  • Environmental Risk Management

    Environmental risk management is becoming in recent important within a commercial environment. This 14 page paper looks at a number of into related issues that need to be considered when undertaking environmental risk management. The paper starts by considering the concept of environmental risk management and then looks at environmental impact assessments, environmental audits, life cycle assessments and waste management. Each aspect of environmental management is considered separately as well is being seen as interdependent. The bibliography cites 20 sources.

  • Internet Banking and Traditional Banking

    This 10 page paper discusses the ways in which the role of the traditional bank is changing, and in particular, the fact that banks now need to provide Internet banking services. The writer considers how banks can supply these services and also considers such issues as security, risk and problems caused by a lack of personal contact. There are 9 sources listed in the bibliography.

  • Banks, Risk Measurement and Risk Management

    In twenty two pages this paper discusses models including maturity, repricing, and duration in a consideration of the banking industry's management of risk with the Basel Accords II changes and Barings Bank also examined. Twenty three sources are listed in the bibliography.

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