Risk Exposure and Risk Management at Korea First Bank Harvard Case Solution & Analysis

This case is ideal for the analysis of foreign exchange, liquidity, operational interest rates and other risks that the bank faces, especially banks in emerging markets, as he was during the Asian crisis of 1997. Students can also study and apply the KMV model to assess the risk of bankruptcy.
This Darden study. "Hide
by Giorgos Allayannis Source: Darden School of Business 24 pages. Publication Date: May 13, 2002. Prod. #: UV0511-PDF-ENG

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