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Lessons from Financial Risk Management

机译:金融风险管理的教训

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The financial crisis in the United States from 2007 to 2008 caused the collapse of banks, bailouts by the governments, and trillions of dollars in lost wealth. While the causes of the financial crisis are many, financial institutions and governments have attempted to prevent future collapses with stronger risk controls and regulations. This paper will present the lessons learned from the financial crisis and look at how they can be applied to capital project risk management. Topics that will be covered include risk modeling, risk governance, data collection, resources, transparency, capital reserves, and conflicts of interest. Similar to the banking sector, capital projects should also require stronger procedures and policies to prevent project failures.
机译:从2007年到2008年,美国发生金融危机,导致银行倒闭,政府纾困,以及数万亿美元的财富损失。尽管造成金融危机的原因很多,但金融机构和政府已尝试通过更强的风险控制和法规来防止未来的崩溃。本文将介绍从金融危机中汲取的经验教训,并探讨如何将其应用于资本项目风险管理。将涉及的主题包括风险建模,风险治理,数据收集,资源,透明度,资本储备和利益冲突。与银行业类似,基本建设项目也应要求采取更强有力的程序和政策,以防止项目失败。

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