Introduction
摘要
The objective of Chap. 1 is, firstly, to lay out the rationale for this book. In Sect. 1.2 a problem statement, framed in a broader research context, is then outlined, together with a research aim, research gaps, and research questions that drive this study. The research objectives then frame the specific study questions. Section 1.3 briefly summarizes the research methodology adopted in this study. The following section discusses the ringfencing of the study determined by the breadth of the topic involving risk management in the banking industry. The chapter concludes with Sect. 1.4.