Risk governance in Banks-Based on the Study of Joint-stock Commercial Bank in China

li, keyi (2015) Risk governance in Banks-Based on the Study of Joint-stock Commercial Bank in China. [Dissertation (University of Nottingham only)]

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Abstract

The paper will divide into six parts. In chapter 2 and 3, this paper will review and summarize the general theories of corporate governance, commercial bank’s corporate governance, risk management and total risk management. Chapter 4 will introduce the main methodology in studying the current situation of China’s and foreign commercial bank’s corporate governance, especially the risk governance, and clarify the importance of consummating risk governance mechanism to China’s commercial banks, joint-stock commercial bank’s risk governance framework will be studied and designed. Then the methodology of an evaluation system will also be introduced to service the following research for a typical bank in China. In addition, the Mental Carlo method will be introduced to evaluate commercial banks market risk. In chapter 5, the results of the comparation between national and foreign commercial banks governance situations, the assessment of the typical bank in China and the evaluation for its risk governance mechanism will be given. In chapter 6, a brief conclusion will be made.

Item Type: Dissertation (University of Nottingham only)
Depositing User: Li, Keyi
Date Deposited: 23 Mar 2016 15:14
Last Modified: 19 Oct 2017 14:58
URI: https://eprints.nottingham.ac.uk/id/eprint/30013

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