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Our research and analysis on Operational Risk
The following in-depth pieces represent our archive of research and analysis on Operational Risk.
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What is the biggest risk to shareholder value?
Date: Mar 03, 2014   |   Author: Chris Fordham
Chris Fordham, managing partner, Fraud Investigation & Dispute Services, EY Asia-Pacific, feels failure to address risk comprehensively leaves corporates at higher risk of institutional fraud.
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High chance of financial crisis in China, says Credit Agricole senior economist
Date: Feb 26, 2014   |   Author: Dariusz Kowalczyk
Dariusz Kowalczyk, senior economist/strategist at Credit Agricole Corporate and Investment Bank, feels that an imminent financial crisis in China is probable, with stress signs in WMPs and trust loans particularly evident.
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Proceedings Report
Proactive bank risk discovery take on increased importance
Date: Feb 26, 2014   |   Author: Research
Proceedings report from The Asian Banker’s Risk Management Dialogue 2014, on the key elements of an integrated risk management framework.
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Research Note
GCC regulators on track to achieving regional governance infrastructure
Date: Feb 21, 2014   |   Author: Farrah Brake
Banks attending The Asian Banker’s inaugural GCC International Advisory Group Meeting on Banking Risk and Resilience identify the need for stronger boards and clearer regulations as key issues.
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News Analysis
Volcker rule finalisation puts end to risky bank trading bets
Date: Dec 13, 2013   |   Author: Magessan Raj
How effective will the Volcker rule be in addressing the greater shortcomings of the US’ financial system?
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“Competency has to be present at all levels”
Date: Dec 04, 2013   |   Author: Bertrand Pigeon
Gilbert Kohnke, chief risk officer at OCBC Bank, discusses regulatory and risk management challenges ahead, with Basel III compliance being banks’ chief concern.
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Proceedings Report
Need for strong risk culture increasingly acknowledged by Thai banks
Date: Nov 25, 2013   |   Author: Research
Proceedings report from The Asian Banker’s Thailand Heads of Risk Dialogue 2013, on issues shaping the current risk management environment in the country.
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“Banks’ risk appetite statement should drive risk framework establishment”
Date: Nov 19, 2013   |   Author: Bertrand Pigeon
Hans Broekhuisen, chief risk officer at Vietnam's VPBank, discusses the paradigm shift in bank risk management over the past decade and the relevance of risk appetite to one's business strategy.

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