Please use this identifier to cite or link to this item:
http://hdl.handle.net/123456789/3129
Full metadata record
DC Field | Value | Language |
---|---|---|
dc.contributor.author | Harle, Philipp | - |
dc.contributor.author | Havas, Andras | - |
dc.contributor.author | Hamid Samandari | - |
dc.date.accessioned | 2020-06-26T05:04:29Z | - |
dc.date.available | 2020-06-26T05:04:29Z | - |
dc.date.issued | 2016-07 | - |
dc.identifier.uri | http://hdl.handle.net/123456789/3129 | - |
dc.language.iso | en | en_US |
dc.publisher | McKinsey Global Institute | en_US |
dc.subject | Risk Management | en_US |
dc.title | The Future of Bank Risk Management | en_US |
dc.title.alternative | Banks have made dramatic changes to risk management in the past decade—and the pace of change shows no signs of slowing. Here are six initiatives to help them stay ahead. | en_US |
dc.type | Technical Report | en_US |
Appears in Collections: | McKinsey Reports |
Files in This Item:
File | Description | Size | Format | |
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The-future-of-bank-risk-management.pdf | 4.4 MB | Adobe PDF | View/Open |
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