
To analyze the risk management practices in public sector banks and private sector banks.
To compare the effectiveness of risk management strategies between public and private sector banks.
To identify the challenges and opportunities for risk management in the banking sector.
To recommend best practices for mitigating risks in public and private sector banks.
Conduct a literature review on risk management in the banking sector.
Collect data on risk management strategies employed by public and private sector banks.
Analyze the data and compare the risk management practices between the two sectors.
Identify the key challenges and opportunities for risk management in public and private sector banks.
Develop recommendations for improving risk management practices in the banking sector.