#2729. Managing bank risk through the crisis perspective from Malaysia

November 2026publication date
Proposal available till 30-05-2025
4 total number of authors per manuscript3510 $

The title of the journal is available only for the authors who have already paid for
Journal’s subject area:
Finance;
Economics and Econometrics;
Business and International Management;
Strategy and Management;
Places in the authors’ list:
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2 place - free (for sale)
3 place - free (for sale)
4 place - free (for sale)

Abstract:
This article examines the practical implications of the COVID-19 crisis for bank risk management, and draws more general conclusions. The results show that standard strategic and credit risk management practices need to be upgraded if banks are to be better prepared for 20XX.
Keywords:
COVID-19; Crisis; Resilience; Reverse stress test; Stress test; V-shape

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