Risk Management in Financial Institutions before and after the financial crisis

Mohammad, Zia (2013) Risk Management in Financial Institutions before and after the financial crisis. [Dissertation (University of Nottingham only)] (Unpublished)

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Abstract

The dissertation looks into the ever important topic of risk management. It aims to answer three basic questions which are:

What went wrong?

How did it happen?

Could good risk management may have avoided it?

Item Type: Dissertation (University of Nottingham only)
Depositing User: EP, Services
Date Deposited: 30 Apr 2014 15:00
Last Modified: 19 Oct 2017 13:25
URI: https://eprints.nottingham.ac.uk/id/eprint/26355

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