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MMPB 4: Risk Management in Banks

Title Name IGNOU MMPB 4 SOLVED ASSIGNMENT
Type Soft Copy (E-Assignment) .pdf
University IGNOU
Degree MASTER DEGREE PROGRAMMES
Course Code MBA
Course Name Master in Business Administration
Subject Code MMPB 4
Subject Name Risk Management in Banks
Year 2026 2027
Session -
Language English Medium
Assignment Code MMPB 4/Assignment-1/2026 2027
Product Description Assignment of MBA (Master in Business Administration) 2026 2027. Latest MMPB 004 2026 Solved Assignment Solutions
Last Date of IGNOU Assignment Submission Last Date of Submission of IGNOU BEGC-131 (BAG) 2025-26 Assignment is for January 2026 Session: 30th September, 2026 (for December 2025 Term End Exam).

Semester Wise
January 2025 Session: 30th March, 2026 (for June 2026 Term End Exam).
July 2025 Session: 30th September, 2025 (for December 2025 Term End Exam).
FormatReady-to-Print PDF (.soft copy)

📅 Important Submission Dates

  • January 2025 Session: 31st October, 2025
  • July 2025 Session: 30th April, 2025
  • July 2025 Session: 30th April, 2026
  • January 2026 Session: 30th April, 2026
  • July 2026 Session: 30th April, 2027
  • January 2027 Session: 31st October, 2026

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MMPB 004 (January 2025 - July 2025) - ENGLISH

ASSIGNMENT

Course Code :MMPB-004

Course Title :Risk Management in Banks

Assignment Code : MMPB-004/TMA/JULY/2024

Coverage :All Blocks

Note: Attempt all the questions and submit this assignment to the coordinator of your study centre. Last date of submission for July 2024 session is 31 October, 2024 and for January 2025 sessions is 30th April, 2025.

1. Meet the Bank Manager of your choice and discuss with her/him the need for risk management in Banks. Also find out the process and steps in managing risk of Banks. Write a note on your discussions.

2. What are Credit Derivatives? Explain their benefits? Discuss the different types of Credit Derivatives.

3. What is Market Risk? Explain the factors contributing to the market risk. Describe how market risk is measured by the Banks.

4. What is Operational Risk? What is its relevance for banks? Discuss the Principles of Operational Risk Management.

5. What is the purpose of 'Internal Capital Adequacy Assessment Process' (ICAAP) Document? Describe the main sections of ICAAP document prepared by Banks.


MMPB 004 (July 2025 - January 2026) - ENGLISH

ASSIGNMENT

Course Code

MMPB-004

Course Title

Risk Management in Banks

Assignment Code

MMPB-004/TMA/JULY/2025

Coverage

All Blocks

Note: Attempt all the questions and submit this assignment to the Coordinator of your study centre. Last date of submission for July 2025 Semester is 31 October 2025and for January 2026 Semester is 30 April, 2026.

1. Discuss the major types of risks faced by banks, and explain the frameworks and tools used to manage these risks effectively.

2. Define credit risk in the context of Banks. Why is it important for banks to manage credit risk effectively? Using suitable examples, discuss how a bank can reduce its exposure to credit risk through the implementation of robust credit policies and procedures.

3. Discuss the different types of market risk models used in banks to quantify exposure to market-related risks. Meet the Manager of Bank of your choice and find out how the bank measures and manages market risk.

4. Define Operational Risk in the context of banks. Discuss the various types of operational risks as categorised by the Basel Committee. Also, elaborate the key principles of effective operational risk management as laid down by the Basel Committee.

5. Write Short Notes on:

a) Basel III Accord

b) Internal Capital Adequacy Assessment Process (ICAAP)

c) Risk Pricing

d) Marginal Risk Capital


MMPB 004 (July 2026 - January 2027) - ENGLISH

ASSIGNMENT
Course Code : MMPB-004
Course Title : Risk Management in Banks
Assignment Code : MMPB-004/TMA/JULY/2026
Coverage : All Blocks
Note: Attempt all the questions and submit this assignment to the Coordinator of your
study centre. Last date of submission for July 2026 Semester is 31st October 2026
and for January 2027 Semester is 30th April 2027.
1. Explain the major types of risks faced by banks and discuss the importance of Risk
Management in banking operations.
2. Credit Risk cannot be eliminated completely, but can be managed effectively. Critically
examine the tools and strategies available to banks for managing credit risk.
3. Asset-Liability Management is often regarded as a balancing act between profitability
and risk. Discuss this statement with suitable arguments.
4. What is ‘Operational Risk’? Explain its major sources and implications for Banks.
5. Critically examine the role of ICAAP in strengthening the resilience and long-term
sustainability of banks operating in a high-risk environment.

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