Financial institutions management : a risk management approach için kapak resmi
Başlık:
Financial institutions management : a risk management approach
Yazar:
Saunders, Anthony, 1949- author
ISBN:
9780071289559
Basım Bilgisi:
Seventh edition
Fiziksel Tanımlama:
xxii, 884 pages: illustrations, map ; 27 cm
Seri:
The McGraw-Hill/Irwin series in finance, insurance, and real estate

McGraw-Hill/Irwin series in finance, insurance, and real estate
İçerik:
Part 1. Introduction: why are financial institutions special?; financial service -- depository institutions; financial services -- insurance; financial services -- securities brokerage and investment banking; financial services -- mutual funds and hedge funds; financial services -- finance companies; risks of financial institutions -- Part 2. Measuring risk: interest rate risk 1; interest rate risk 2; market risk; credit risk -- individual loan risk; credit risk -- loan portfolio and concentration risk; off-balance sheet risk; foreign exchange risk; sovereign risk; technology and other operational risks; liquidity risk -- Part 3. Managing risk: liability and liquidity management; deposit insurance and other liability guarantees; capital adequacy; product and geographic expansion; futures and forwards; options, caps, floors and collars; swaps; loan scales; securitization.
Özet:
Provides an approach that focuses on managing return and risk in modern financial institutions. This title analyzes the traditional nature of each sector's product activity, emphasising on the various areas of activities such as asset securitization, off-balance-sheet banking, and international banking.
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Demirbaş
Yer Numarası
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Kitap EKOBKN0010231 332.1068 SAU 2011
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