Strategic risk in banks is a relevant, growing risk, difficult to evaluate and to manage for the absence of effective management practices. European sector authorities are now paying attention to it. It would be useful to lay out a conceptual model aimed at improving the knowledge of Strategic Risk, and consequently helping to frame the evaluation and management procedures. The definition of a model, however, presents difficulties both from theoretical and practical point of view

Il rischio strategico nelle banche: un framework concettuale

Marco Di Antonio
2019-01-01

Abstract

Strategic risk in banks is a relevant, growing risk, difficult to evaluate and to manage for the absence of effective management practices. European sector authorities are now paying attention to it. It would be useful to lay out a conceptual model aimed at improving the knowledge of Strategic Risk, and consequently helping to frame the evaluation and management procedures. The definition of a model, however, presents difficulties both from theoretical and practical point of view
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Utilizza questo identificativo per citare o creare un link a questo documento: https://hdl.handle.net/11567/990622
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