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The Impact of Risk Management on Lebanese Banks' Performance: A Qualitative Study

dc.contributor.authorAlayli, Sahar
dc.date.accessioned2024-02-21T10:28:22Z
dc.date.available2024-02-21T10:28:22Z
dc.date.issued2024-02-20
dc.description.abstractThis research employs a qualitative technique to examine the complexities of settlement risk in Lebanese banks against the backdrop of the country's volatile economic environment. This study explores many dimensions of settlement risk, including operational, regulatory, and market elements, through comprehensive interviews with five key personnel spanning from risk analysts to senior executives in the banking sector. Given the context of economic uncertainty, political upheaval, and strict international regulations, the banking industry in Lebanon has largely focused on identifying the underlying factors contributing to settlement risk. The respondents provided insight into the management strategies used to mitigate these risks and the ongoing challenges encountered by the banking industry. The findings suggest that Lebanese banks encounter specific obstacles, including but not limited to technology deficiencies, varied regulatory frameworks, and geopolitical volatility. The presence of a complicated risk environment is evident, but it is also apparent that there are internal measures in place to mitigate settlement risks. This study presents empirical data that might be valuable for policymakers, financial analysts, and academic academics to gain a deeper understanding of the intricate characteristics of settlement risk in Lebanese banks. The need to implement a comprehensive and cohesive risk management plan to safeguard the Lebanese financial system is emphasized.pt_PT
dc.description.versioninfo:eu-repo/semantics/publishedVersionpt_PT
dc.identifier.citationAlayli, S. (2024). The Impact of Risk Management on Lebanese Banks' Performance: A Qualitative Study. Dutch Journal of Finance and Management, 7(1), 26358. https://doi.org/10.55267/djfm/14239pt_PT
dc.identifier.doihttps://doi.org/10.55267/djfm/14239pt_PT
dc.identifier.issn2542-4750
dc.identifier.urihttp://hdl.handle.net/10400.26/49950
dc.language.isoengpt_PT
dc.peerreviewedyespt_PT
dc.publisherIADITI Editionspt_PT
dc.relation.ispartofseries;26358
dc.relation.publisherversionhttps://www.djfm-journal.com/article/the-impact-of-risk-management-on-lebanese-banks-performance-a-qualitative-study-14239pt_PT
dc.rights.urihttp://creativecommons.org/licenses/by/4.0/pt_PT
dc.subjectBankspt_PT
dc.subjectRisk Managementpt_PT
dc.subjectDiversificationpt_PT
dc.subjectMitigating Riskspt_PT
dc.titleThe Impact of Risk Management on Lebanese Banks' Performance: A Qualitative Studypt_PT
dc.typejournal article
dspace.entity.typePublication
oaire.citation.conferencePlacePortugalpt_PT
oaire.citation.issue1pt_PT
oaire.citation.titleDutch Journal of Finance and Managementpt_PT
oaire.citation.volume7pt_PT
rcaap.rightsopenAccesspt_PT
rcaap.typearticlept_PT

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