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Are you looking to download a PDF soft copy of the Solved Assignment MS-494 - Risk Management in Banks? Then GullyBaba is the right place for you. We have the Assignment available in English language.
This particular Assignment references the syllabus chosen for the subject of Management, for the January 2024 - July 2024 session. The code for the assignment is MS-494 and it is often used by students who are enrolled in the MBF Degree.
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1. What are the different risks in Banks? Explain in detail how the Bank Treasury plays a significant role in managing these different risks in a Bank.
2. Visit a Branch Manager of a Bank of your choice and discuss with her/him the different key financial parameters that must be evaluated by the bank while managing the credit risk exposure? Write a note on your discussions.
3. What do you understand by Currency Risk? Discuss about the important products that are generally used by banks in managing the currency risk.
4. What is 'Stress Testing' in the context of risk management in Banks? Discuss the various approaches of stress testing.
5. What do you understand by Capital to Risk-weighted Assets Ratio? Discuss the Elements of Tier I and Tier II capital as prescribed for Indian Banks and their limits.
1. What do you understand by Risk Regulation? Discuss the various factors taken into consideration by Reserve Bank of India, while designing the regulatory framework for banks in this regard.
2. What is Credit Risk? Explain the credit risk involved in Project Finance and Working Capital Finance.
3. What is ‘Market Risk’? Discuss the components of market risk and explain the models used to estimate market risk.
4. What is Risk Adjusted Performance Evaluation? Explain the basic principles of incentive systems and discuss the sound compensation principles.
5. What are the broad principles of Risk Governance? Discuss the role, functions and composition of Credit Risk Management Committee.
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