Risk management competency development in banks : an integrated approach /
| Main Author: | |
|---|---|
| Corporate Author: | |
| Format: | eBook |
| Language: | English |
| Published: |
Singapore :
Palgrave Macmillan,
2019.
|
| Series: | Palgrave Macmillan studies in banking and financial institutions.
|
| Subjects: | |
| Online Access: | Connect to the full text of this electronic book |
Table of Contents:
- Intro; Abstract; Acknowledgments; Endorsements for Risk Management Competency Development in Banks; Contents; List of Figures; List of Tables; Chapter 1: Introduction; Chapter 2: Formulating the Risk Management Competency Development Indicators; 2.1 The Three Concepts and Their Variables; 2.1.1 Background; 2.1.2 Core Competencies; 2.1.3 Dynamic Competencies; 2.1.4 Learning Organization; 2.2 Pooling Together the Concepts; 2.3 From Conceptual Variables to Risk Management Competency Development Indicators; 2.4 Conclusion; References
- Chapter 3: Risk Management Competency Development Indicators: Differing Importance Across Demographics3.1 Analytical Techniques; 3.1.1 Differences on an Individual Indicator Basis; 3.1.2 Differences on a Combinative Basis; 3.1.3 Putting Together Both Individual and Combinative Comparisons; 3.2 Local- Versus Foreign-Controlled Banks; 3.3 Entrepreneur- Versus Non-Entrepreneur-Controlled Banks; 3.4 Staff Seniority Levels; 3.5 Conclusion; References; Chapter 4: Summarizing the Risk Management Competency Development Indicators to Themes
- Chapter 5: Conclusion: This Book's Findings on Risk Management Competency Development5.1 The Aim and the Three Objectives; 5.2 Implications of the Findings for Risk Management Competency Development; 5.2.1 RO1: To Translate the Concepts into Operationalized Indicators; 5.2.2 RO2: To Assess Whether Different Demographic Bank Groups Attach Different Levels of Importance; 5.2.3 RO3: To Summarize the Indicators into a Few Meaningful Themes; 5.3 Conclusion; Appendix; Index