National Repository of Grey Literature 1 records found  Search took 0.01 seconds. 
Banking risk management in the Czech banking example
Kousalová, Klára ; Půlpánová, Stanislava (advisor)
The goal is to evaluate the methods, procedures and ways of managing risk Czech banking entities. The first part focuses on the nature of the risk of credit, market, liquidity and operational. The second chapter is the analysis of the Czech banking sector itself, given the risk management, capital adequacy and compliance with regulatory rules. The last part is focused on the development of Basel II. The resulting information provides a summary in conclusion.

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