This book fills a gap in banking literature by providing a professional and sophisticated 'risk' primer for bank directors, executives and staff at every level as well as students, analysts and commentators on the banking scene.
Les informations fournies dans la section « Synopsis » peuvent faire référence à une autre édition de ce titre.
This book fills a gap in banking literature by providing a professional and sophisticated 'risk' primer for bank directors, executives and staff at every level as well as students, analysts and commentators on the banking scene. The breadth of focus is exceptional in covering the full range of banking risks, rather than the customary specialist segment.
The book begins by defining risk itself and discussing how it can be approached in a banking context. It goes on to examine the concepts of volatility, expected and unexpected loss, the role of risk capital, rate of return and the required reward for risk (the 'cost of capital'). The author identifies five generic types of primary banking risk and one universal secondary type. Each of these is explored in turn from solvency and liquidity risks to credit risk, interest rate risk, price risks and operating risks. This treatment gives the reader an insight into modern risk management and hedging techniques, and many other relevant topics. Legal and regulatory issues and constraints are considered within an international frame of reference. The book offers practical guidance on the role of a bank's board and executive management, organisation and co-ordination of risk management.
Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.
Vendeur : Renaissance Books, ANZAAB / ILAB, Dunedin, Nouvelle-Zélande
Hardcover. Etat : Near Fine. Etat de la jaquette : Near Fine. First Edition. Dust-jacket protected in archival mylar cover.; xvi, 237, [3 (blank)] pages. Blue boards with silver lettering on spine. Page dimensions: 234 x 154mm. Contents: Foreword by Alan Brown; Preface; Acknowledgements; Risk and Reward; What are the Banking Risks?; Solvency Risk; Liquidity Risk; Credit Risk: Policy Overview; Credit Risk: Analysing the Portfolio; Credit Risk: Changing the Portfolio; Interest Rate Risk: Structural Exposure; Interest Rate Risk: Trading Exposure; Price Risks; Operating Risks; Conclusion: Organising Risk Management; Bibliography and Further Reading; Glossary of Financial Terms; Index. N° de réf. du vendeur 27366
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Vendeur : Books Puddle, Woodside, NY, Etats-Unis
Etat : New. pp. 256. N° de réf. du vendeur 26433764
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Vendeur : Majestic Books, Hounslow, Royaume-Uni
Etat : New. pp. 256. N° de réf. du vendeur 7414203
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Vendeur : Biblios, Frankfurt am main, HESSE, Allemagne
Etat : New. pp. 256. N° de réf. du vendeur 18433774
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Vendeur : Romtrade Corp., STERLING HEIGHTS, MI, Etats-Unis
Etat : New. This is a Brand-new US Edition. This Item may be shipped from US or any other country as we have multiple locations worldwide. N° de réf. du vendeur ABBB-57968
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Vendeur : Basi6 International, Irving, TX, Etats-Unis
Etat : Brand New. New. US edition. Expediting shipping for all USA and Europe orders excluding PO Box. Excellent Customer Service. N° de réf. du vendeur ABEOCT25-224575
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Vendeur : UK BOOKS STORE, London, LONDO, Royaume-Uni
Etat : New. Brand New! Fast Delivery This is an International Edition and ship within 24-48 hours. Deliver by FedEx and Dhl, & Aramex, UPS, & USPS and we do accept APO and PO BOX Addresses. Order can be delivered worldwide within 6-10 days and we do have flat rate for up to 2LB. Extra shipping charges will be requested if the Book weight is more than 5 LB. This Item May be shipped from India, United states & United Kingdom. Depending on your location and availability. N° de réf. du vendeur CS 9781855732063
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Vendeur : Mispah books, Redhill, SURRE, Royaume-Uni
Hardcover. Etat : Like New. LIKE NEW. SHIPS FROM MULTIPLE LOCATIONS. book. N° de réf. du vendeur ERICA75418557320685
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