#2732. COVID-19 triggers great nonfinancial risk crisis: Nonfinancial risk management best practices in Canada

March 2027publication date
Proposal available till 30-05-2025
4 total number of authors per manuscript5500 $

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:
place 1place 2place 3place 4
FreeFreeFreeFree
2350 $1200 $1050 $900 $
Contract2732.1 Contract2732.2 Contract2732.3 Contract2732.4
1 place - free (for sale)
2 place - free (for sale)
3 place - free (for sale)
4 place - free (for sale)

Abstract:
The article examines the best practices for managing non-performing funds and trends from a practical point of view. The results demonstrate how the adoption of the Global Risk and Trends Framework by several Canadian financial institutions has impacted their preparedness and resilience for this pandemic.
Keywords:
Banks; Best practices; Canada; Global risks and trends; Nonfinancial risk; Risk management; Strategy

Contacts :
0