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Finance and Credit
 

The banking risk management strategy

Vol. 15, Iss. 15, APRIL 2009

Available online: 16 September 2009

Subject Heading: Risks management

JEL Classification: 

Kovalev P.P. Candidate of Economic Sciences, Head of the Risk Management Department of the Eurasian Development Bank
kpp@eabr.org

The article describes various aspects of strategic banking risk management. Particular attention is being paid to the matters of developing the banking risks management strategies and defining the basic components of this process. It also considers the matters connected with development of strategic goals of banking risk management. The article lists the basic, in the author’s opinion, strategic goals of the bank and the bank’s risk management, reflects its correlation and cause-and-effect relation.

Keywords: bank, risk management, strategy, management, goal

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ISSN 2311-8709 (Online)
ISSN 2071-4688 (Print)

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