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Bank Risk Management in Banco Di Napoli
Bank Risk Management in Banco Di Napoli

Author(s): Riccardo Altieri, Andrea Verde
Subject(s): Politics / Political Sciences, Politics, Economy, Business Economy / Management, Micro-Economics, Economic policy, Financial Markets
Published by: Университет за национално и световно стопанство (УНСС)
Keywords: Bank risk; Bank risk management; Banco di Napoli; Risk mitigation
Summary/Abstract: The paper is focused on bank risk management in Banco di Napoli. The paper examines the different types of risks the Banco di Napoli faces and the tools for managing them. Banco di Napoli has developed a multidimensional approach to risk management, which is essential to ensure its financial stability and the safety of its customers. The bank applies a variety of strategies to manage banking risks - credit, market, operational, liquidity and compliance risk.

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