Wells Fargo Risk Management Practices
Wells Fargo Risk Management Practices
Author(s): Mihail Mihov
Subject(s): Politics / Political Sciences, Politics, Economy, Business Economy / Management, Economic policy, Financial Markets
Published by: Университет за национално и световно стопанство (УНСС)
Keywords: Wells Fargo; risk; management
Summary/Abstract: This analysis provides a thorough overview of Wells Fargo's recent financial performance, including profitability metrics, revenue analysis, and risk-adjusted returns. Key financial ratios and revenue distribution trends are explored to assess the bank’s ability to maintain stability amid economic fluctuations. Additionally, this paper delves into Wells Fargo's risk management strategies, particularly its handling of credit risk, operational and reputational risk, and market and interest rate risk. Through its compliance efforts, including adherence to anti-money laundering laws, capital requirements, and consumer protection regulations enforced by agencies like the CFPB and Federal Reserve, Wells Fargo aims to restore its reputation and maintain regulatory approval.
- Page Range: 1127-1134
- Page Count: 8
- Publication Year: 2025
- Language: English
- Content File-PDF