risk

  1. N

    Study on Risk Management in Banks

    Description In ideal risk management, a prioritization process is followed whereby the risks with the greatest loss (or impact) and the greatest probability of occurring are handled first, and risks with lower probability of occurrence and lower loss are handled in descending order. MANAGEMENT...
  2. A

    Study on Risk Management Model

    Description Risk management also faces difficulties in allocating resources. This is the idea of opportunity cost. Resources spent on risk management could have been spent on more profitable activities. Construction Project Administration and Management for Mitigating Work Zone Crashes and...
  3. A

    Dissertation Study on Systemic Liquidity Risk

    Description In finance, liquidity risk is the risk that a given security or asset cannot be traded quickly enough in the market to prevent a loss (or make the required profit). ABSTRACT Title of dissertation: ESSAYS ON SYSTEMIC LIQUIDITY RISK Pablo M. Federico, Doctor of Philosophy, 2012...
  4. N

    Research Study on Assessing teen risk behavior and later drug use

    Description Risk is the potential of loss (an undesirable outcome, however not necessarily so) resulting from a given action, activity and/or inaction. The notion implies that a choice having an influence on the outcome sometimes exists (or existed). ABSTRACT Title of Document: ASESSING TEEN...
  5. A

    Thesis on Uprateability Risk Assessment Methodology

    Description Risk assessment is the determination of quantitative or qualitative value of risk related to a concrete situation and a recognized threat ABSTRACT Title of Document: AN UPRATEABILITY RISK ASSESSMENT METHODOLOGY. Rajeev Kumar Mishra, Master of Science, 2005 Directed By: Professor...
  6. A

    Reports Study on Risk Analysis & Portfolio

    Description Risk analysis is a technique to identify and assess factors that may jeopardize the success of a project or achieving a goal. This technique also helps to define preventive measures to reduce the probability of these factors from occurring and identify countermeasures to successfully...
  7. A

    Project on Risk and Return in Banking

    Description The term portfolio refers to any collection of financial assets such as stocks, bonds, and cash. Portfolios may be held by individual investors and/or managed by financial professionals, hedge funds, banks and other financial institutions. ACKNOWLEDGEMENTS First and foremost, I...
  8. N

    Project on General Risk Warning Concerning Financial Instruments

    Description Risk is the potential of loss (an undesirable outcome, however not necessarily so) resulting from a given action, activity and/or inaction. The notion implies that a choice having an influence on the outcome sometimes exists (or existed). Potential losses themselves may also be...
  9. A

    Reports on Risk management

    Description The strategies to manage risk typically include transferring the risk to another party, avoiding the risk, reducing the negative effect or probability of the risk, or even accepting some or all of the potential or actual consequences of a particular risk. Index Topic Name Chapter 1...
  10. B

    Study Report on Mega-projects and Risk

    Description Risk is the potential of loss resulting from a given action, activity and/or inaction. The notion implies that a choice having an influence on the outcome sometimes exists (or existed). Potential losses themselves may also be called "risks". Any human endeavor carries some risk, but...
  11. N

    Corporates get tough lesson in FX risk from central bank

    China's central bank is signaling it is abandoning its traditional role in the domestic currency market as the ready supplier of liquidity, forcing corporations to bear more risk so that they learn how to cope with a more volatile yuan.
  12. T

    Read at your own risk... only 18+

    Read at your own risk... only 18+:ban: . . . . . . . . . . . . . . . . . . . . . Condoms... Imagine if all these companies start selling condoms, they won't even have to change their tag line:- Pepsodent Condom- Raat bhar dishum dishum. Colgate Condom- Ye hai hamara suraksha chakra. Nokia...
  13. E

    Some BHEL orders at risk due to 'Coalgate'

    Nomura says about 28% of Bharat Heavy Electricals Ltd's order book is at risk of cancellation or deferment due to either non-availability of coal linkage or cancellation of existing linkage, following the coal allocation scam, popularly dubbed Coalgate. "Coalgate" is a short-hand reference ate...
  14. M

    Responsibility for Risk Management

    Organizational risks are increasingly on the radar of top executives, and it's chief financial officers and CEOs - not chief risk officers - who should ultimately bear the responsibility for risk management?
  15. E

    Epic Updat :Rupee falls as global risk

    The rupee fell to 55.69/70 after rising to 55.53 immediately after stronger-than-expected May IIP data, compared to its Wednesday's close of 55.62/63. Weaker global risk assets, including a tumbling Australian dollar after an unexpected drop in unemployment, pressured the rupee. Commodity...
  16. B

    Analyzing Banking Risk

    Description This is an excellent book disclosed by the World Bank about the full function of any Bank. Public Disclosure Authorized 48238 Analyzing Banking Risk A Framework for Assessing Corporate Governance and Risk Management Public Disclosure Authorized THIRD EDITION blic Disclosure...
  17. M

    please need MBA risk managment projects

    Hi please need help for any topics or subjects & projects in MBA risk management Thank you
  18. S

    Part Time Risk Management And Its Opportunities

    Part Time Risk Management And Its Opportunities Risk Management is the identification, assessment and prioritization of risks followed by coordinated and economical application of resources to minimize, monitor, and control the probability of unfortunate events. Risk management relates to...
  19. D

    Mutual Fund: Risk Factors

    Standard Risk Factors: • Investment in Mutual Fund Units involves investment risks such as trading volumes, settlement risk, liquidity risk, default risk including the possible loss of principal. • As the price / value / interest rates of the securities in which the scheme invests...
  20. S

    Growth at risk as service sector slows

    Growth in much of the world's service sector was anaemic in July as firms around the world worried about the debt crisis in Europe and the US as a well as slowing consumer demand, business surveys showed mid this week. World stocks tumbled, with the US S&P 500 stock index falling to a new low...
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