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Concentration Risk Revisited

Concentration Risk Revisited

Written by

Dr. Richard Buczynski

Dr. Richard Buczynski
IBISWorld Chief Economist Published 01 May 2019 Read time: 1

Published on

01 May 2019

Read time

1 minutes

Concentration risk has been the bane of banks since the financial crisis. This article discusses best practices in identifying, mapping, measuring, and monitoring concentration risk along the ERM chain. By incorporating these mappings into early warning systems, banks can design a practical system for stress testing, scenario analysis, and commercial scorecard development—all with the aim of more effective risk management and profitable business development.

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