Economics of banking
tarafından
 
Keiding, Hans, 1945-

Başlık
Economics of banking

Yazar
Keiding, Hans, 1945-

ISBN
9781137453044

Yazar Ek Girişi
Keiding, Hans, 1945-

Fiziksel Tanımlama
xii, 380 pages : illustrations ; 25 cm

İçerik
Machine generated contents note: -- 1. Why are there Banks? -- 2. The Business Lines of a Bank -- 3. Basic Concepts of Risk Management -- 4. Market Risk and Value at Risk Analysis -- 5. The Loan Contract -- 6. Credit Rationing -- 7. Credit Risk -- 8. Securitization and Shadow Banking -- 9. Investment Banking and Corporate Finance -- 10. Payments -- 11. Competition and Risk Taking -- 12. Irregularities in the Banking Sector -- 13. Operational Risk -- 14. Liquidity Shocks, Bank Runs and the Interbank Market -- 15. Deposit Insurance -- 16. Lenders of Last Resort and Central Banks -- 17. Reorganization of Banks -- 18. Capital Regulation and the Basel Accords -- References -- Index.

Özet
A comprehensive text that covers both the microeconomics of banking and risk management in banks. Chapters are self-contained, making it easy to select specific topics for teaching. Striking a balance between analyses of the underlying principles and their practical applications, it is an ideal advanced undergraduate or master's level textbook

Konu Başlığı
Banks and banking.
 
Bankalar ve bankacılık.
 
Microeconomics.
 
Mikroekonomi.


LibraryMateryal TürüDemirbaşYer NumarasıDurumu / Lokasyon / İade Tarihi
Ekonomi KütüphanesiKitapEKOBKN0000478332.1 KEI 2016Merkez Kütüphane Genel Koleksiyon