MURAD @ MANSOR, SHAIFUL NIZAN (2005) THE IMPLICATIONS OF GAP AND RISK ON PROFITABILTY. Masters thesis, Universiti Sains Malaysia.
Against the backdrop of rapidly changing financial landscape and increased uncertainty, the bank will always need to regularly review its risk management process in order to ensure safe daily operations and sound policies. Every commercial bank in Malaysia is having its own unit in monitoring and analyzing risks in banking business that they are onto. It is vital in order to ensure that their financial system is best placed to serve the economy and survived.
|Item Type:||Thesis (Masters)|
|Subjects:||H Social Sciences > HF Commerce > HF5001-6182 Business|
|Divisions:||Pusat Pengajian Siswazah Perniagaan (Graduate School of Business)|
|Depositing User:||Mr. HR|
|Date Deposited:||12 Jul 2012 15:05|
|Last Modified:||13 Jul 2013 18:08|
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