An analysis of bank risk management and its relevance for the non-bank corporate sector

dc.contributor.advisorFaure, Pierre
dc.contributor.authorDietrich, David Roland
dc.date.accessioned2026-03-02T05:50:14Z
dc.date.issued2007
dc.description.abstractThis thesis, entitled "An analysis of bank risk management and its relevance for the non-bank corporate sector" , investigates the extent to which financial risk management by the banking sector can be applied to the non-bank corporate sector. As banks' risk management techniques are more sophisticated than those of the non-bank corporate sector we have endeavoured to ascertain the applicability of these established risk management methods to the non-bank corporate sector. The main objectives of this study were to analyse the banking sectors' risks and management thereof, and compare them to the risks faced by the nonbank corporate sector. This analysis was then used to present a theoretical financial risk management model for the corporate sector. This analysis was conducted using qualitative research. The thesis engaged in an in-depth investigation of financial risk management through a documentary, literature and media analysis. It was elucidated that not all companies face the same financial risks and therefore each company requires its own unique financial risk management model. Furthermore, it was established that there are several risks that both banks and non-bank corporates are subjected to. However, the management of these risks is not necessarily the same for these two types of institutes. This thesis concludes by putting forward a financial risk management model which presents all the possible financial risks that non-bank corporates may face.
dc.description.degreeMaster's thesis
dc.description.degreeMCom
dc.format.extent102 pages
dc.format.mimetypeapplication/pdf
dc.identifier.otherhttp://hdl.handle.net/10962/d1002683
dc.identifier.urihttps://researchrepository.ru.ac.za/handle/123456789/2819
dc.languageEnglish
dc.publisherRhodes University, Faculty of Commerce, Department of Economics and Economic History
dc.rightsDietrich, David Roland
dc.subjectBank management
dc.subjectRisk management
dc.subjectCorporations -- Finance
dc.subjectFinancial institutions
dc.subjectBanks and banking
dc.titleAn analysis of bank risk management and its relevance for the non-bank corporate sector
dc.typeAcademic thesis

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