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A Study of Financial Risk Management at Banks – A Study of SBI


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The project report, “A Study of Financial Risk Management at Banks – A Study of SBI,” explores how the State Bank of India identifies, assesses, and mitigates various financial risks. It covers credit risk, market risk, operational risk, and liquidity risk, highlighting SBI’s strategies and frameworks for effective risk management.

The report also examines regulatory compliance, risk monitoring tools, and real-world case studies to provide practical insights. Designed for MBA and finance students, this study offers a comprehensive understanding of banking risk management, helping readers analyze challenges and solutions in maintaining financial stability in one of India’s largest banks.

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