I would not mind if the number of references differs slightly but please keep the range from 7-12 but if you feel that you would need to use more sources than that, then please do. Furthermore, there are 9 risks that we took during the course period and they are:
1) Interest rate risk
2) Credit risk
3) Liquidity risk
4) Foreign exchange risk
5) Country or Sovereign risk
6) Market risk
7) Off-Balance sheet risk
8) Technology and operational risk
9) Insolvency risk
Therefore, when you identify which kinds of risks are involved in the case study, please stick to these risks that we took during the course, that would be great!
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