Strategic risk of positioning in the banking sector, an example from Serbia

Authors

  • Miodrag Džodžo Fakultet za poslovne studije i pravo, Beograd https://orcid.org/0000-0003-4230-4830
  • Milica Kaličanin Fakultet za poslovne studije i pravo, Srbija
  • Zoran Kaličanin Fakultet za poslovne studije i pravo, Srbija

Keywords:

banking sector, strategic risk, bank, risks, strategy, positioning

Abstract

This paper provides an overview of strategic risk concepts in the banking sector, with a focus on the challenges faced by stakeholders due to the increasing impact of strategic risks amid rapid changes. The study also examines key requirements for identifying, measuring, controlling, and monitoring strategic risks, along with the roles and responsibilities involved. The paper categorizes strategic risks emphasizes the importance of timely and objective information for strategic decision-making. Paper researches the strategic risk of positioning in banking sector of Serbia and provides insights into the differences between domestic/foreign and banks with smaller/larger assets. 

Published

2026-08-24

How to Cite

(1)
Džodžo, M.; Kaličanin, M.; Kaličanin, Z. Strategic Risk of Positioning in the Banking Sector, an Example from Serbia. IR 2026, 15.