Operational Risk Governance: The Basel Approach
Анотація
This paper analyses key documents of Basel Committee which concern operational risk governance and identifies the interconnectedness between risk source, type of the event leading to losses, loss type and its distribution by business lines. The comparative characteristic of the main operational risk governance stages is provided and the relationships between governance bodies are overviewed.
Класифікація
Рецензії (0)
Написати рецензіюРецензій ще немає. Будьте першим!
Схожі роботи
INSURANCE OF THEORETICAL AND METHODOLOGICAL ASPECTS IN THE FUNCTIONS OF THE ACCOUNTING SYSTEMS
Схоже за: Insurance and Financial Risk Management · Risk Management in Financial Firms
ASSESSMENT OF THE FINANCIAL STABILITY OF THE POLISH BANKING SYSTEM BASED ON FINANCIAL STABILITY INDICATORS (FSI)
Схоже за: Insurance and Financial Risk Management · Risk Management in Financial Firms
ESTIMATION OF FINANCIAL STABILITY OF THE INSURANCE COMPANY
Схоже за: Insurance and Financial Risk Management · Risk Management in Financial Firms
ПІДХОДИ ДО УПРАВЛІННЯ ФІНАНСОВИМИ РИЗИКАМИ НА РИНКУ ЦІННИХ ПАПЕРІВ
Схоже за: Insurance and Financial Risk Management · Risk Management in Financial Firms
FINANCIAL MEDIATION ON THE STOCK MARKET
Схоже за: Insurance and Financial Risk Management · Risk Management in Financial Firms
Force Majeure Events And Stock Market Reactions In Ukraine
Схоже за: Insurance and Financial Risk Management · Risk Management in Financial Firms