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The control of bank exposure to risk

Authors
Journal
Long Range Planning
0024-6301
Publisher
Elsevier
Publication Date
Volume
12
Issue
5
Identifiers
DOI: 10.1016/0024-6301(79)90095-5

Abstract

Abstract This article describes the major risks inherent in operating a bank. By analyzing the individual component elements of that risk it shows how the major risks may be reported and controlled. The analysis also portrays some of the major considerations that require attention if the risks are to be minimized.

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