Operational risks: trends and challenges

被引:0
作者
Lima, Emelly Anne Silva de [1 ]
Leite, Maria Silene Alexandre [1 ]
机构
[1] Univ Fed Paraiba, Dept Prod Engn, BR-58051900 Joao Pessoa, Brazil
来源
JOURNAL OF OPERATIONAL RISK | 2024年 / 19卷 / 04期
关键词
operational risk management; financial institutions; Basel II; calculating regulatory capital; new operational risks; VALUE-AT-RISK; FINANCIAL SECTOR; MANAGEMENT; MODEL; LOSSES; DETERMINANTS; METHODOLOGY; PRECISION; FRAMEWORK; KNOWLEDGE;
D O I
10.21314/JOP.2024.011
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
The management of operational risk is a critical issue for financial institutions, due to their complex business models and the need to comply with regulatory requirements. The second Basel Accord (Basel II), which was issued by the Basel Committee on Banking Supervision in 2004, provides guidance to central banks and supervisory authorities in member countries. In this context, this study provides a panoramic view of the current state of research on operational risk in financial institutions. With the aim of providing different perspectives, we examine a sample of journal articles through a systematic literature review using VOSVIEWER. Our results indicate a multidisciplinary interest in the topic. Of note are the search to reduce the monetary value of capital for operational risk management (as recommended by Basel II), the cascading response to such events, the recent emphasis on reputational damage to financial institutions, and approaches that make use of artificial intelligence (brought about by advances in technology).
引用
收藏
页码:47 / 79
页数:118
相关论文
共 127 条
[1]   Operational Risk and Risk Management Quality: Evidence from US Bank Holding Companies [J].
Abdymomunov, Azamat ;
Mihov, Atanas .
JOURNAL OF FINANCIAL SERVICES RESEARCH, 2019, 56 (01) :73-93
[2]  
Ames M., 2015, J RISK MANAGEMENT FI, V8, P227, DOI [DOI 10.69554/UZLQ7770, DOI 10.2139/SSRN.2396046]
[3]   Does individualistic culture impact operational risk? [J].
An, Zhe ;
Cao, Zhe ;
Chen, Zhian ;
Li, Donghui .
EUROPEAN FINANCIAL MANAGEMENT, 2020, 26 (03) :808-838
[4]  
Anghelache G. V., 2009, Theoretical and Applied Economics, V11, P51
[5]  
Anghelache GV, 2010, METAL INT, V15, P148
[6]  
[Anonymous], 2006, INT CONV CAP MEAS CA
[7]  
[Anonymous], 2012, Core principles for effective banking supervision
[8]   A method for modelling operational risk with fuzzy cognitive maps and Bayesian belief networks [J].
Azar, Adel ;
Dolatabad, Khadijeh Mostafaee .
EXPERT SYSTEMS WITH APPLICATIONS, 2019, 115 :607-617
[9]   Genre Analysis of Risk Management Reports by an Islamic Financial [J].
Aziz, Roslina Abdul ;
Abas, Nadhratunnaim ;
Yusob, Khairul Firhan ;
Yusof, Norhidayah Md .
GEMA ONLINE JOURNAL OF LANGUAGE STUDIES, 2022, 22 (02) :63-87
[10]   Operational risk and reputation in financial institutions: Does media tone make a difference? [J].
Barakat, Ahmed ;
Ashby, Simon ;
Fenn, Paul ;
Bryce, Cormac .
JOURNAL OF BANKING & FINANCE, 2019, 98 :1-24