Risk Management Competency Development in Banks
An Integrated Approach
Seiten
2019
|
1st ed. 2019
Springer Verlag, Singapore
978-981-13-7598-9 (ISBN)
Springer Verlag, Singapore
978-981-13-7598-9 (ISBN)
This Pivot proposes an integrated approach to facilitate competency development in a more comprehensive way. It examines this approach in the important but seldom studied context of risk management in banks.
Risk management weaknesses in banks have persisted in spite of regulatory changes. This Pivot takes inspiration from three unlikely sports heroes to create the proposed integrated approach to risk management competency development, bringing together three competency development concepts hitherto studied in isolation that are more comprehensive and more effective when combined.
The author studies the integrated approach under three specific objectives. The concepts are first operationalized into 23 actionable indicators through literature reviews and experts’ reaffirmation. Then, the t-test and discriminant analysis are used to identify how banks across different demographic groups place different emphases on these indicators. Lastly, these indicators are summarized into key themes via factor analysis.
Risk management weaknesses in banks have persisted in spite of regulatory changes. This Pivot takes inspiration from three unlikely sports heroes to create the proposed integrated approach to risk management competency development, bringing together three competency development concepts hitherto studied in isolation that are more comprehensive and more effective when combined.
The author studies the integrated approach under three specific objectives. The concepts are first operationalized into 23 actionable indicators through literature reviews and experts’ reaffirmation. Then, the t-test and discriminant analysis are used to identify how banks across different demographic groups place different emphases on these indicators. Lastly, these indicators are summarized into key themes via factor analysis.
Eric H.Y. Koh, PhD, CFA, FCPA (Aust.), is with the Faculty of Business and Accountancy at the University of Malaya, Malaysia. He offers a unique blend of practical experience and academic credentials, having had senior management experience in the banking industry. He also facilitates several key academic and professional courses.
1. Introduction.- 2. Formulating the Risk Management Competency Development Indicators.- 3. Risk Management Competency Development Indicators: Differing Importance across Demographics.- 4. Summarizing the Risk Management Competency Development Indicators to Themes.- 5. Conclusion: This Book's Findings on Risk Management Competency Development.
Erscheinungsdatum | 27.06.2019 |
---|---|
Reihe/Serie | Palgrave Macmillan Studies in Banking and Financial Institutions |
Zusatzinfo | XV, 84 p. |
Verlagsort | Singapore |
Sprache | englisch |
Maße | 148 x 210 mm |
Themenwelt | Wirtschaft ► Betriebswirtschaft / Management ► Allgemeines / Lexika |
Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung | |
Betriebswirtschaft / Management ► Spezielle Betriebswirtschaftslehre ► Bankbetriebslehre | |
Wirtschaft ► Betriebswirtschaft / Management ► Unternehmensführung / Management | |
Schlagworte | Competency Development in the Banking Sector • Discriminant Analysis in Banking • Factor Analysis in Banking • Integrated Approach in Banking • Risk Management • Strategy in the Banking Industry |
ISBN-10 | 981-13-7598-4 / 9811375984 |
ISBN-13 | 978-981-13-7598-9 / 9789811375989 |
Zustand | Neuware |
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