Risk Management and Financial Stability

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Risk Management and Financial Stability

This course provides an in-depth understanding of the interconnectedness between risk management practices and financial stability. Participants will explore the types of risks financial institutions face, including credit risk, market risk, operational risk, and liquidity risk, and how these can lead to systemic crises if not properly managed. The course will also cover regulatory frameworks such as Basel III, which aim to enhance the resilience of banks and financial institutions in the face of economic shocks.