Credit Risk Management

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    Profeffor

    .edu /~metin utdallas Page 1 Risk Management at Apache Corporation Outline  Factual information  Major Risks and Their Classification  Measurement of Risks  Goal and Value of Risk Management  Tools for Risk Management Sources:   “Risk Management at Apache", by Lisa Meulbroek and Puja Malhotra. Harvard Business School Case \# 9-201-113, revised on Aug 27, 2001. HBS 9-201113-PDF-ENG. Go to http://hbsp.harvard.edu/product/cases and search with Apache or 9-201113. “2013

    Words: 855 - Pages: 4

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    Stryker Corporation: in-Sourcing Pcbs

    AFIN328 Financial Risk Management Department of Applied Finance and Actuarial Studies Faculty of Business and Economics Unit Guide D2 Day; Offered in Session 2, North Ryde 2012 Table of Content Table of Content General Information Convenor and teaching staff Credit Points Prerequisites Corequisites Co-badged status Unit Description 2 3 3 3 3 3 3 3 Learning Outcomes Graduate Capabilities Problem Solving and Research Capability Creative and Innovative Effective Communication Commitment

    Words: 3151 - Pages: 13

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    Asset Liability Management

    ASSET - LIABILTY MANAGEMENT IN INDIAN BANKING INDUSTRY DR. ANURAG B SINGH; MS. PRIYANKA TANDON ARTICLE REVIEW Submitted by: Arpit Sharma Roll No. 141 Sec- C Article discusses the issues in asset liability management and elaborates on various categories of risk that need to be managed. It also examines strategies for asset-liability management from the asset side as well as the liability side, particularly in the Indian context. It also

    Words: 1548 - Pages: 7

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    Wellfleet Bank

    ‘’ Risk Management at Wellfleet Bank: Deciding about Megadeals’’ 1. a) What kind of risks does Wellfleet Bank face? They consider financial (revenue risk) and other variety of business progress risks. Those risks are depends on industry and company structure. Credit Committee undertakes essential risks are Market Risk, Operational Risk, Compliance Risk, Country Risk (economic and political strength/weakness), Reputational Risk and Business Risk. Also company success is impacted by external

    Words: 786 - Pages: 4

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    Business

    Risk Based Capital (Basel II) for Banks in Bangladesh: A straightforward Journey Abu Hena Mohd. Razee Hassan K. M Abdul Wadood Abstract Banks operating in Bangladesh are much enthusiastic for maintaining risk based capital in line with Basel II. Self audit report 2008 on compliance with Basel Core Principles (BCPs) shows, Operational independence of Bangladesh Bank, supervisory tools, existing prudential regulations for core risk management as introduced in banking industry by BB has developed

    Words: 4270 - Pages: 18

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    Outsourcing Risk

    Outsourcing Risks of Information Technology 07 January 2013 CMGT 442 Pro's and Con's of Outsourcing Information Technology The cost of maintaining an informational technology department rises tremendously each year. The replacement of parts, the increase of service agreement, personnel raises, and new mandates from local and federal governments. By outsourcing some internal functions you immediately save money by managing services.

    Words: 1136 - Pages: 5

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    Operational Risk Management

    ≈√ F M A G u i d e l i n e s on Operational Risk Management These guidelines were prepared by the Oesterreichische Nationalbank in cooperation with the Financial Market Authority Published by: Oesterreichische Nationalbank (OeNB) Otto-Wagner-Platz 3, 1090 Vienna, Austria Austrian Financial Market Authority (FMA) Praterstraße 23, 1020 Vienna, Austria Produced by: Oesterreichische Nationalbank Editor in chief: Günther Thonabauer, Communications Division (OeNB) Barbara Nösslinger

    Words: 50825 - Pages: 204

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    Lecture

    Liquidity Risk Management |Section |Topic |Page | |8000 |Executive Summary……………………………... | 8-2 | |8100 |Legislative Summary…………………………….. | 8-3 | |8200 |Policy………………………………………………

    Words: 3435 - Pages: 14

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    Risk Management in the Nigerian Banking Sector

    RISK MANAGEMENT THE NIGERIAN BANKING SECTOR FOR ABI ALCHEMY BUSINESS INTELLIGENCE BY OYINDAMOLA OMOSEBI CONSULTANT ALCHEMY BUSINESS INTELLIGENCE 5TH MAY 2012 Table of Content 1.0 Overview of Risk Management 1.1 Principle of Risk Management 1.2 The Risk Management Process 1.2.1 Risk Identification 1.2.2 Risk Assessment/Measurement 1.2.3 Risk Mitigation 1.3 Risk Management Plan 1.3.1 Implementation 1.3.2 Review and Evaluation of Plan 2.0 A Review of Risks in Banking

    Words: 11311 - Pages: 46

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    Honeywell

    Harvard Business School 9-200-036 Rev. July 12, 2000 Honeywell, Inc. and Integrated Risk Management In one week, on July 10, 1997, the Finance Committee members of Honeywell Inc.’s board of directors would vote on whether to proceed with a new risk management program. For the past two years, members of Honeywell’s Treasury Management Team, in conjunction with insurance specialists J&H Marsh & McLennan (now Marsh Inc.), auditor Deloitte & Touche, and later with insurance underwriter

    Words: 9944 - Pages: 40

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