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RISK MANAGEMENT IN BANKING SECTOR -AN …

International Journal of Marketing, Financial Services & MANAGEMENT Research_____ ISSN 2277- 3622 , No. 2, February (2013) Online available at 145 RISK MANAGEMENT IN BANKING SECTOR -AN EMPIRICAL STUDY THIRUPATHI KANCHU*; M. MANOJ KUMAR** * RESEARCH SCHOLAR, DEPT OF COM. & BUS. MGT, K U, WARANGAL (AP). ** RESEARCH SCHOLAR, DEPT OF COM. & BUS. MGT, T U,, NIZAMABAD (AP) _____ ABSTRACT Risk MANAGEMENT is the application of proactive strategy to plan, lead, organize, and control the wide variety of risks that are rushed into the fabric of an organization s daily and long-term functioning. Like it or not, risk has a say in the achievement of our goals and in the overall success of an organization. Present paper is to make an attempt to identify the risks faced by the BANKING industry and the process of risk MANAGEMENT .

Foreign exchange risk is the risk that a bank may suffer loss as a result of adverse exchange rate movement during a period in which it has an open position, either spot or forward or both in same foreign currency. Even in case where spot or forward positions in individual currencies are

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  Management, Risks, Foreign, Sector, Exchange, Banking, Foreign exchange, Risk management in banking sector an

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