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Corporate governance of banks and portfolio risk management - by Stephanie Khalil Dammous

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dc.contributor.author Dammous, Stephanie Khalil
dc.date.accessioned 2012-06-13T07:35:06Z
dc.date.available 2012-06-13T07:35:06Z
dc.date.issued 2010
dc.identifier.uri http://hdl.handle.net/10938/8545
dc.description Project (M.B.A.)--American University of Beirut, Suliman S. Olayan school of Business, 2010.;"First Reader : Dr. Wassim Dbouk, Assistant Professor, Suliman S. Olayan School of Business--Second Reader : Dr. Assem Safieddine, Professor, Suliman S. Olayan Sc
dc.description Bibliography : leaves 43-44.
dc.description.abstract The purpose of this paper is to investigate the relationship between corporate governance and risk management in the Gulf Cooperation Council (GCC) banking sector. --In order to investigate whether governance is a primary determinant of risk management, w
dc.format.extent viii, 44 leaves 30 cm.
dc.language.iso eng
dc.relation.ispartof Theses, Dissertations, and Projects
dc.subject.classification Pj:001589 AUBNO
dc.subject.lcsh Gulf Cooperation Council
dc.subject.lcsh Corporate governance -- Persian Gulf Region
dc.subject.lcsh Banks and banking -- Persian Gulf Region
dc.subject.lcsh Risk management -- Persian Gulf Region
dc.title Corporate governance of banks and portfolio risk management - by Stephanie Khalil Dammous
dc.type Project
dc.contributor.department American University of Beirut. Suliman S. Olayan School of Business


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