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2020 | OriginalPaper | Chapter

3. Knowledge Management, Risk Management, Knowledge Risk Management: What Is Missing (or Messed) in Financial and Banking Sectors

Author : Maura La Torre

Published in: Risk in Banking

Publisher: Springer International Publishing

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Abstract

The purpose of this chapter is to investigate the state of research on Knowledge Risk Management in banks and other financial firms. In particular, the chapter is aimed at verifying the shortage of research contributions on Knowledge Risk Management with specific reference to organizations belonging to banking and financial sectors. First, recent trends in knowledge management in banks and other financial firms has been pointed. Second, strengths and weaknesses of today’s risk management of these organizations has been considered as well. Then, a systematic review has been performed to verify the level of development of KRM research in the banking and financial sectors; to the best of the author’s knowledge, to date, a systematic review with this specific objective has not yet been conducted. Findings highlighted a substantial lack of contributions in this strand, as a clear reference to knowledge risks could not be found in most of the reviewed studies.

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Metadata
Title
Knowledge Management, Risk Management, Knowledge Risk Management: What Is Missing (or Messed) in Financial and Banking Sectors
Author
Maura La Torre
Copyright Year
2020
DOI
https://doi.org/10.1007/978-3-030-54498-0_3