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Credit Risk ManagementBasic Concepts: Financial Risk Components, Rating Analysis, Models, Economic and Regulatory Capital$
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Tony Van Gestel and Bart Baesens

Print publication date: 2008

Print ISBN-13: 9780199545117

Published to Oxford Scholarship Online: January 2009

DOI: 10.1093/acprof:oso/9780199545117.001.0001

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PRINTED FROM OXFORD SCHOLARSHIP ONLINE (www.oxfordscholarship.com). (c) Copyright Oxford University Press, 2018. All Rights Reserved. Under the terms of the licence agreement, an individual user may print out a PDF of a single chapter of a monograph in OSO for personal use (for details see www.oxfordscholarship.com/page/privacy-policy).date: 21 September 2018

Bank risk management

Bank risk management

Chapter:
(p.1) 1 Bank risk management
Source:
Credit Risk Management
Author(s):

Tony Van Gestel

Bart Baesens

Publisher:
Oxford University Press
DOI:10.1093/acprof:oso/9780199545117.003.0001

This chapter presents a broad overview of banking and risk management. The chapter provides a banking history overview. Topics covered include the key role of banks in the economy as brokers and financial intermediaries, the bank balance sheet, sources of risk, risk management, regulation, and financial products.

Keywords:   banking history, balance sheet, risk management, financial products

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