Governance & Control In Finance & Banking

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A New Paradigm For Risk & Performance

ISBN: 3639705734
ISBN 13: 9783639705737
Herausgeber: Alexander N Kostyuk/Olga Afanasyeva/Yaroslav Mozghovyi
Verlag: Scholars‘ Press
Umfang: 336 S.
Erscheinungsdatum: 02.02.2014
Auflage: 1/2014
Format: 2.1 x 22 x 15
Gewicht: 518 g
Produktform: Kartoniert
Einband: KT
Artikelnummer: 6190133 Kategorie:

Beschreibung

Since the start of the world financial turmoil a lot of urgent questions arouse for the financial and banking sector concerning necessary reforms and changes in day-to day operations, strategy and regulation. There are several key-points that occupy minds of the practitioners and scholars worldwide ever since. In this respect the vital importance of governance and risk issues for the financial sector was re-emphasized by bank professionals, supervisors and standard setters. How should markets and financial institutions be governed and regulated with regard to risk framework and performance? Does corporate governance really play significant role in risk control and management process? Will the new tendencies in regulation help to achieve more sustainable condition in finance and banking industry? Do financial institutions need stricter regulation? Does corporate governance have potential to contribute significantly to safeguarding against systemic risks? Which corporate governance standards will effectively improve financial institutions in this case? Thus, a new paradigm for risk and performance in finance and banking needs to be developed through governance and control procedures.

Autorenporträt

Alexander N. Kostyuk (PhD in corporate governance and finance, Professor), Olga Afanasyeva (PhD in finance and banking), Yaroslav Mozghovyi (PhD researcher). The group of editors represents the Ukrainian Academy of Banking of the National Bank of Ukraine and the International Center for Banking and Corporate Governance headed by Alexander Kostyuk

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