Financial And Risk Management For Banks During Recession

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2015 (EN)
Financial And Risk Management For Banks During Recession

Beka, Christina

This dissertation was written as part of the MSc in Banking and Finance at the International Hellenic University. The research is analyzing the banking sector in some specific countries. Firstly, we decide to mention the way that the Basel Accords are developed during the last years and the reforms that the banks adopt through these Basel. Furthermore, we write about the type of risks because many people that are not busy with economics have the ability to separate each type or what really represent. Continuously, there is a general review of some specific topics like the unemployment and the Gross domestic product (GDP) in the countries that we monitor. Simultaneously, we represent the results that we took from the research in four countries of Europe which are Greece, Ireland, Portugal and Italy from 2003 up to 2004. I would like to thank you my supervisor of the dissertation, who is Dr Andreas Charitou, PhD, CMA. He is Professor of Finance and Accounting in University of Cyprus. The mail of the Professor is .




School of Economics and Business Administration, Msc in Banking and Finance

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