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Changes in the risk management after the financial crisis
Kujnischová, Katarína ; Paholok, Igor (advisor)
The subject of the bachelor's thesis Changes in the risk management after the financial crisis is to make the acquaintance of the changes being prepared in international risk management and in the area of corporate governance in response to financial crisis. The thesis is divided into three chapters. The first one theoretically determinates the specifics of the banking sector, defines types of risks in banking and analyses the causes of their origin. In the second chapter the benefits and the drawbacks of the Basel capital accords Basel I and Basel II are reviewed. The third part already deals with the upcoming changes, in the concrete the preparation of Basel III and its differences from currently obligatory concept. It also deals with the basic principles of corporate governance, because the proper management of individual banks is necessary for safe and stable financial system.

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