Risk Factors of Bank of America
Risk Factors of Bank of America
Author(s): Mariya Stoyanova
Subject(s): Economy, Business Economy / Management, Financial Markets
Published by: Университет за национално и световно стопанство (УНСС)
Keywords: risk management; financial stability; market volatility
Summary/Abstract: This paper outlines Bank of America's main risk factors, including pandemic-related economic impacts, market and liquidity risks, credit, regulatory and geopolitical risks. These factors threaten the bank's stability and necessitate strengthened risk management to adapt to evolving market and operational demands.
- Page Range: 934-941
- Page Count: 8
- Publication Year: 2025
- Language: English
- Content File-PDF