Apart from this, RBI has opted for on-site and off-site surveillance methods for effective risk management in the Indian Banking sector, so that systemic risk and financial turmoil can be averted in the country. Present paper is to make an attempt to identify various types of risks faced by...
Sector: An Overview Risk Analysis And Management In Indian Banking Sector: An OverviewRisk Analysis And Management In Indian Banking Sector: An OverviewThe concept of risk and its management are core for any financial organization. Risk Management is the application of proactive strategy to plan, ...
RISK MANAGEMENT IN INDIAN BANKS: SOME EMERGING ISSUES The concept of risk and management are core of financial enterprise. The financial sector especially the banking industry in most emerging economies including... KA Goyal,S Agrawal - 《International Journal of Economics & Research》 被引量: 39...
The Impact of Branch Network on Credit Risk Management Practices in Indian Banking Sector IUP Journal of Financial Risk ManagementArora, Anju
There has been a substantial build-up of non-performing assets in the Indian banking sector. Despite multiple initiatives and regulatory changes, there is a need to revisit the reporting and regulatory frameworks and redefine the focus areas. Banks credit problem has often been explored under the ...
The study had chosen 45 banks and collected secondary data for the financial year 2007 to 2012 to do the analysis of IRR management. The findings of the study were to suggest the ways to minimize the IRR and control its effect on the banks profit. The other findings were to test impact ...
Banks are therefore required to form a special organizational unit in charge of risk management. Also, they are required to prescribe procedures for risk identification, measurement and assessment, as well as procedures for risk management. During the year ended March 2015, banking business slowed ...
- 《Iup Journal of Bank Management》 被引量: 4发表: 2013年 Technical efficiency and its determinants in the Indian domestic banking industry: An application of DEA and Tobit analysis Using cross-sectional data for 51 banks, this paper not only endeavours to measure the extent of technical ...
Risk management, corporate governance, and bank performance in the financial crisis The recent financial crisis has raised several questions with respect to the corporate governance of financial institutions. This paper investigates whethe... SM Schmid - 《Journal of Banking & Finance》 被引量: 458...
Management of risk has emerged as one of the core banking activities all over the world because of the banking crisis observed in different countries. This paper has tried to address the influence of risk-based capital (CAR) and human capital on the risk of Indian listed commercial banks. The...