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Volume : V, Issue : X, November - 2015

भारत में बैंकिंग क्षेत्र में जोखिम और जोखिम प्रबन्धन

अंजना जैन , None

By : Laxmi Book Publication

Abstract :

किसी भी देश की अर्थव्यवस्था में सुदृढ़ वित्तीय ढ़ांचे का होना उस देश की प्रगति की ओर इंगित करता है। तथा बैंकिंग क्षेत्र एक अर्थव्यवस्था के विकास में अहम भूमिका निभाते हुए सुदृढ़ता प्रदान करता है। बैंक देश के आर्थिक विकास की कुंजी है। अतः यह आवश्वक हो जाता है कि देश में एक सुदृढ़ बैंकिंग क्षेत्र हो।

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Article :


Cite This Article :

अंजना जैन , None(2015). भारत में बैंकिंग क्षेत्र में जोखिम और जोखिम प्रबन्धन. Indian Streams Research Journal, Vol. V, Issue. X, http://isrj.org/UploadedData/7593.pdf

References :

  1. Seethapathi K - Risk Management in Bank ICFAI Pressas Hyderabad 2002, P.No. 129.
  2. Thirupathi K and Kumar M – Risk Management in Banking Sector Marketting Financial Services 2013, Vol. No. 2, P.No. 2277.
  3. Seethapathi K - Risk Management in Bank ICFAI Pressas Hyderabad 2002, P.No. 129.
  4. Seethapathi K - Risk Management in Bank ICFAI Pressas Hyderabad 2002, P.No. 129.
  5. Altman E – “Financial ratios_discriminant analysis and the prediction of Coroperate Bankruptcy”. Journal of Finance 968, P.No. 589-609.
  6. Seethapathi K - Risk Management in Bank ICFAI Pressas Hyderabad 2002, P.No. 129.
  7. Altman E – “Financial ratios_discriminant analysis and the prediction of Coroperate Bankruptcy”. Journal of Finance 968, P.No. 589-609.
  8. Seethapathi K - Risk Management in Bank ICFAI Pressas Hyderabad 2002, P.No. 129.
  9. Altman E – “Financial ratios_discriminant analysis and the prediction of Coroperate Bankruptcy”. Journal of Finance 968, P.No. 589-609.
  10. Seethapathi K - Risk Management in Bank ICFAI Pressas Hyderabad 2002, P.No. 129.
  11. Altman E – “Financial ratios_discriminant analysis and the prediction of Coroperate Bankruptcy”. Journal of Finance 968, P.No. 589-609.
  12. Thirupathi K and Kumar M – Risk Management in Banking Sector Marketting Financial Services 2013, Vol. No. 2, P.No. 2277.
  13. Seethapathi K - Risk Management in Bank ICFAI Pressas Hyderabad 2002, P.No. 129.
  14. Thirupathi K and Kumar M – Risk Management in Banking Sector Marketting Financial Services 2013, Vol. No. 2, P.No. 2277.
  15. Altman E – “Financial ratios_discriminant analysis and the prediction of Coroperate Bankruptcy”. Journal of Finance 968, P.No. 589-609.
  16. Seethapathi K - Risk Management in Bank ICFAI Pressas Hyderabad 2002, P.No. 129.
  17. Seethapathi K - Risk Management in Bank ICFAI Pressas Hyderabad 2002, P.No. 129.
  18. Thirupathi K and Kumar M – Risk Management in Banking Sector Marketting Financial Services 2013, Vol. No. 2, P.No. 2277.
  19. Seethapathi K - Risk Management in Bank ICFAI Pressas Hyderabad 2002, P.No. 129.
  20. Thirupathi K and Kumar M – Risk Management in Banking Sector Marketting Financial Services 2013, Vol. No. 2, P.No. 2277.

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