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Risk and Return

C/F/1315. Failures in risk management and banks' supervision as causes of financial crisis

WORDS:
3600
DATE:
2011
PRICE:
39.99 GBP

The paper reviews definitions of risk and risk management (RM) exploring the causes of RM failures within the banking industry that affected financial markets and lead to the financial crisis of 2007. Inadequacy of financial regulations and banks’ supervision is highlighted discussing the factors behind the resilience of the Saudi Arabian banking supervisory system that saved the country’s economy from the impacts of the crisis.

 

KEYWORDS: risk management, banks’ supervision, financial crisis, financial markets,

 
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