Report title: Managing Risk in Light of the Financial Crisis: Some Initial Lessons Learned
from Moody's Global Credit Research
7 page (3914 word) report published Oct 12, 2009

Price $550.00 available for immediate download
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About Moody's Global Credit Research

...The market turmoil of the past two years has triggered a wide-ranging reassessment of the global financial system and a need to understand the causes that led to a financial crisis of a severity not seen since the Great Depression. One of the main areas of attention has been the failure of many financial institutions to manage their risks adequately. In most cases, the industry debate has focused on pure risk management failures, particularly the shortcomings of risk models in measuring risks accurately, without addressing the broader issue of how risk is managed at the highest levels of the organisation and how information on a bank's risk profile is communicated internally and externally and is used to influence the decision-making process. We believe that the weaknesses of many financial firms in managing their risks have to be looked at in a comprehensive fashion. Our approach is to adopt the four-pillar framework of Moody's risk management methodology ¡ risk governance, risk management,...

Report Type: Special Comment
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