Proceedings of the 2024 2nd International Conference on Management Innovation and Economy Development (MIED 2024)

Integrated Strategies in Risk Management and Financial Stability

Authors
Wenbing Zan1, *
1Monash University, Melbourne, Australia
*Corresponding author. Email: 2482516799@qq.com
Corresponding Author
Wenbing Zan
Available Online 15 October 2024.
DOI
10.2991/978-94-6463-542-3_64How to use a DOI?
Keywords
Risk Management; Financial Stability; Financial Markets; Integrated Strategies; Global Finance
Abstract

In the intricate landscape of modern financial markets, the nexus between risk management and financial stability has become increasingly pivotal. This article delves into this complex relationship, scrutinizing a spectrum of risk management strategies and their consequent impact on the robustness and resilience of financial systems. Amidst the backdrop of burgeoning global financial intricacies, the necessity for harmonized and integrated approaches in risk management becomes paramount.Central to our discourse is the critical evaluation of integrated risk management frameworks. These frameworks synergize various components of risk identification, assessment, and mitigation to forge a cohesive strategy that not only addresses specific financial risks but also contributes to the overarching stability of the financial sector. We argue that such integrated strategies are imperative in the face of multifaceted financial challenges, including market unpredictability, regulatory shifts, and the emerging threats posed by cyber vulnerabilities. In synthesizing these various strands of inquiry, our aim is to furnish insights into the development of more effective risk management practices. We advocate for a holistic approach that not only safeguards individual financial institutions but also reinforces the structural integrity of the global financial system. Through this comprehensive exploration, the article contributes to the ongoing discourse on financial stability, offering strategic directions for policymakers, financial practitioners, and academicians in navigating the complexities of contemporary financial markets.

Copyright
© 2024 The Author(s)
Open Access
Open Access This chapter is licensed under the terms of the Creative Commons Attribution-NonCommercial 4.0 International License (http://creativecommons.org/licenses/by-nc/4.0/), which permits any noncommercial use, sharing, adaptation, distribution and reproduction in any medium or format, as long as you give appropriate credit to the original author(s) and the source, provide a link to the Creative Commons license and indicate if changes were made.

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Volume Title
Proceedings of the 2024 2nd International Conference on Management Innovation and Economy Development (MIED 2024)
Series
Advances in Economics, Business and Management Research
Publication Date
15 October 2024
ISBN
978-94-6463-542-3
ISSN
2352-5428
DOI
10.2991/978-94-6463-542-3_64How to use a DOI?
Copyright
© 2024 The Author(s)
Open Access
Open Access This chapter is licensed under the terms of the Creative Commons Attribution-NonCommercial 4.0 International License (http://creativecommons.org/licenses/by-nc/4.0/), which permits any noncommercial use, sharing, adaptation, distribution and reproduction in any medium or format, as long as you give appropriate credit to the original author(s) and the source, provide a link to the Creative Commons license and indicate if changes were made.

Cite this article

TY  - CONF
AU  - Wenbing Zan
PY  - 2024
DA  - 2024/10/15
TI  - Integrated Strategies in Risk Management and Financial Stability
BT  - Proceedings of the 2024 2nd International Conference on Management Innovation and Economy Development (MIED 2024)
PB  - Atlantis Press
SP  - 559
EP  - 565
SN  - 2352-5428
UR  - https://doi.org/10.2991/978-94-6463-542-3_64
DO  - 10.2991/978-94-6463-542-3_64
ID  - Zan2024
ER  -