Financial Crises and the Presence of Foreign Banks (original) (raw)
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The Wharton Financial Institutions Center The Wharton Financial Institutions Center provides a multidisciplinary research approach to the problems and opportunities facing the financial services industry in its search for competitive excellence. The Center's research focuses on the issues related to managing risk at the firm level as well as ways to improve productivity and performance. The Center fosters the development of a community of faculty, visiting scholars and Ph.D. candidates whose research interests complement and support the mission of the Center. The Center works closely with industry executives and practitioners to ensure that its research is informed by the operating realities and competitive demands facing industry participants as they pursue competitive excellence. Copies of the working papers summarized here are available from the Center. If you would like to learn more about the Center or become a member of our research community, please let us know of your interest.
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The Wharton Financial Institutions Center The Wharton Financial Institutions Center provides a multidisciplinary research approach to the problems and opportunities facing the financial services industry in its search for competitive excellence. The Center's research focuses on the issues related to managing risk at the firm level as well as ways to improve productivity and performance. The Center fosters the development of a community of faculty, visiting scholars and Ph.D. candidates whose research interests complement and support the mission of the Center. The Center works closely with industry executives and practitioners to ensure that its research is informed by the operating realities and competitive demands facing industry participants as they pursue competitive excellence. Copies of the working papers summarized here are available from the Center. If you would like to learn more about the Center or become a member of our research community, please let us know of your interest.
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Financial risk management refers to the process of gradual improvementandpermanent acceptable financial value in any organization.are being used,Financial tools are usually used to help the management teamin order to manage risk disclosure,Especially credit risk and market risk.The purpose of this study wasInvestigate the role of financial risk managementin improving the financial performance of economic institutions.For this purposeNecessary information was extracted from investment funds and banks listed on the Tehran Stock ExchangeIn a period of 5 years and the period 1392-1397.The findings show thatthere is a significant relationshipbetween risk and financial performance of institutions.But there is no meaningful and reciprocal relationship,between financial constraints andriskwith the financial performance of investment companies and banks.
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