Titre : |
Banks and Financial Institutions: the evolution of the regulations and the risk management since the 2000’s and their future in the financial markets |
Type de document : |
Mémoire |
Auteurs : |
Florian MASNIN, Auteur |
Année de publication : |
2018 |
Importance : |
75 p. |
Note générale : |
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Langues : |
Anglais (eng) |
Mots-clés : |
Management MANAGEMENT DU RISQUE ; MARCHE FINANCIER ; BANQUE
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Résumé : |
Eventually, the future of financial institutions with regard to the evolution the regulatory framework since the 2000’s is difficult to sketch. The opinions diverge depending on the sector and the profession. A lot of scenarios could happen and nobody pretends to hold the right one. After all the financial industry is very unpredictable: who would have thought ten or twenty years ago that the risk management would represent such a significant part of the financial industry? But the scenario that seems to come up the most is the one where a consolidation of the financial system will happen, especially in the banking industry. This would allow the great institutions to dilute their regulatory costs and potentially increase their profitability. Such a plot would happen at the expense of the smaller structures and the independent companies, which could go out of business due to the weight of the regulation, unless they are able to offer a real value added with their services. This would occur in a changing environment, where the robotization would take a greater place in the industry, and market operator would disappear to let “market controllers” supervise the computers and the machines. But this is only one of the potential scenarios and only the future will be able to give a definitive answer. |
Note de contenu : |
Bibliogr. p.72-75 |
Programme : |
Sup de Co- Reims |
Permalink : |
https://cataloguelibrary.neoma-bs.fr/index.php?lvl=notice_display&id=485573 |
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