2005•SSRN Electronic JournalOpen access

Managing Risk in Financial Services Contexts

George Peter Gilligan

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Abstract

This article examines risk issues in financial services. It discusses some of the specific risk management strategies that financial institutions and financial services professionals might utilise, followed by analysis of some of the broader influences that help to shape discourses on how best to mediate risk in contemporary financial services.

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This article examines risk issues in financial services. It discusses some of the specific risk management strategies that financial institutions and financial services professionals might utilise, followed by analysis of some of the broader influences that help to shape discourses on how best to mediate risk in contemporary financial services.

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Available abstract

This article examines risk issues in financial services. It discusses some of the specific risk management strategies that financial institutions and financial services professionals might utilise, followed by analysis of some of the broader influences that help to shape discourses on how best to mediate risk in contemporary financial services.

Key concepts: Financial services, Business, Risk management, Financial risk, Financial risk management, Finance

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