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Fully revised and updated from the highly successful previous edition, Risk Managment in Banking 2nd Edition covers all aspects of risk management, shedding light on the extensive new developments in the field. There is a new emphasis on current practice, as well as in-depth analysis of the latest in research and techniques. This edition has been expanded to include an in-depth discussion of credit risk models, asset and liability management, credit valuation, risk-based capital, VAR, loan portfolio management, fund transer pricing and capital allocation. Quantitative material is presented in more detail and the scope of the book has been expanded to include investment banking and other financial services.
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Previews available in: English
Subjects
Business, Finance, Nonfiction, Banks and banking, Risk managementEdition | Availability |
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Risk Management in Banking
2006, John Wiley & Sons, Ltd.
Electronic resource
in English
047006546X 9780470065464
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Feedback?October 17, 2022 | Edited by ImportBot | import existing book |
July 22, 2019 | Edited by MARC Bot | remove fake subjects |
June 8, 2012 | Edited by AMillarBot | remove edition notes from title (2nd Edition) |
June 18, 2010 | Edited by ImportBot | add details from OverDrive |
December 10, 2009 | Created by WorkBot | add works page |