Rogue trading : a risk management approach.
This paper utilises a case study approach where we will examine recent cases of rogue trading in banks over the past decade or so, identify the various characteristics of each case and finally, derive a risk management framework with the aim of mitigating future instances of rogue trading. We wil...
Huvudupphovsmän: | , , |
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Materialtyp: | Final Year Project (FYP) |
Språk: | English |
Publicerad: |
2012
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Länkar: | http://hdl.handle.net/10356/48386 |