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The Governance of strategic risks in systemically important banks
Patrick McConnell
Department of Applied Finance
Research output
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peer-review
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Dive into the research topics of 'The Governance of strategic risks in systemically important banks'. Together they form a unique fingerprint.
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Mathematics
Banking
12%
Banks
67%
Business
33%
Conflict
8%
Deficiency
17%
Financial Crisis
13%
Governance
100%
Market
7%
Review
5%
Risk Management
21%
Strategic Management
15%
Strategy
16%
Uncertainty
6%
Business & Economics
Banking
7%
Board of Directors
8%
Conflict of Interest
9%
Corporate Governance
42%
Corporate Risk Management
13%
Corporate Strategy
15%
Deficiency
17%
Firm Strategy
10%
Global Economy
8%
Global Financial Crisis
14%
Governance
39%
Maturity
7%
Responsibility
6%
Risk Management
6%
Strategic Risk
73%
Uncertainty
5%