Risk management in banking
Сохранить в:
Главный автор: | Bessis, Joël |
---|---|
Соавтор: | ebrary, Inc |
Формат: | Электронный ресурс eКнига |
Язык: | английский |
Опубликовано: |
Chichester, U.K. :
John Wiley,
2010.
|
Редактирование: | 3rd ed. |
Предметы: | |
Online-ссылка: | An electronic book accessible through the World Wide Web; click to view |
Метки: |
Добавить метку
Нет меток, Требуется 1-ая метка записи!
|
Схожие документы
Risk management in banking /
по: Bessis, Joël
Опубликовано: (2015)
по: Bessis, Joël
Опубликовано: (2015)
Improving operational risk management
по: Grinsven, Jurgen H. M. Van
Опубликовано: (2009)
по: Grinsven, Jurgen H. M. Van
Опубликовано: (2009)
Effect of selected financial characteristics on sensitivity to systemic risk : a case of Kenya Airways Limited /
по: Ochieng, Tobias O.
Опубликовано: (2016)
по: Ochieng, Tobias O.
Опубликовано: (2016)
Advanced financial risk management tools and techniques for integrated credit risk and interest rate risk management /
по: Deventer, Donald R. van
Опубликовано: (2013)
по: Deventer, Donald R. van
Опубликовано: (2013)
Handbook of asset and liability management from models to optimal return strategies /
по: Adam, Alexandre
Опубликовано: (2007)
по: Adam, Alexandre
Опубликовано: (2007)
How might a disorderly resolution of global imbalances affect global wealth?
по: Warnock, Francis E.
Опубликовано: (2006)
по: Warnock, Francis E.
Опубликовано: (2006)
Asset bubbles : re-thinking policy for the age of asset management /
по: Jones, Brad
Опубликовано: (2015)
по: Jones, Brad
Опубликовано: (2015)
Managing risks in commercial and retail banking
по: Ghosh, Amalendu
Опубликовано: (2012)
по: Ghosh, Amalendu
Опубликовано: (2012)
Sovereign assets and liabilities management : proceedings of a conference held in Hong Kong SAR /
Опубликовано: (2000)
Опубликовано: (2000)
Analyzing and managing banking risk a framework for assessing corporate governance and financial risk /
по: Greuning, Hennie van
Опубликовано: (2003)
по: Greuning, Hennie van
Опубликовано: (2003)
Analyzing and managing banking risk a framework for assessing corporate governance and financial risk /
по: Greuning, Hennie van
Опубликовано: (2009)
по: Greuning, Hennie van
Опубликовано: (2009)
The liquidity management guide : from policy to pitfalls /
по: Adalsteinsson, Gudni, 1967-
Опубликовано: (2014)
по: Adalsteinsson, Gudni, 1967-
Опубликовано: (2014)
An introduction to banking liquidity risk and asset-liability management /
по: Choudhry, Moorad
Опубликовано: (2011)
по: Choudhry, Moorad
Опубликовано: (2011)
The world of risk management
Опубликовано: (2006)
Опубликовано: (2006)
Stressing to breaking point : interpreting stress test results /
по: Worrell, DeLisle
Опубликовано: (2008)
по: Worrell, DeLisle
Опубликовано: (2008)
Prudential supervision what works and what doesn't /
Опубликовано: (2001)
Опубликовано: (2001)
Are more competitive banking systems more stable?
по: Schaek, Klaus
Опубликовано: (2006)
по: Schaek, Klaus
Опубликовано: (2006)
Private banking building a culture of excellence /
по: Collardi, Boris F. J.
Опубликовано: (2012)
по: Collardi, Boris F. J.
Опубликовано: (2012)
Commercial bank management : producing and selling financial services /
по: Rose, Peter S.
Опубликовано: (1991)
по: Rose, Peter S.
Опубликовано: (1991)
Commercial banking in an era of deregulation
по: Roussakis, Emmanuel N.
Опубликовано: (1997)
по: Roussakis, Emmanuel N.
Опубликовано: (1997)
Cases to accompany commercial bank management /
по: Rose, Peter.S
Опубликовано: (1992)
по: Rose, Peter.S
Опубликовано: (1992)
Organisational change and retail finance an ethnographic perspective /
по: Harper, Richard
Опубликовано: (2000)
по: Harper, Richard
Опубликовано: (2000)
The effect of call centers on bank performance in Kenya : a case study of Barclays Bank Kenya /
по: Onyango, Francis Otieno
Опубликовано: (2013)
по: Onyango, Francis Otieno
Опубликовано: (2013)
Bank competition, risk, and asset allocations
по: Boyd, John H.
Опубликовано: (2009)
по: Boyd, John H.
Опубликовано: (2009)
Asset protection an Emerald guide.
Опубликовано: (2005)
Опубликовано: (2005)
Learning by example imitation and innovation at a global bank /
по: Strang, David
Опубликовано: (2010)
по: Strang, David
Опубликовано: (2010)
Mathematical methods for finance : tools for asset and risk management /
по: Focardi, Sergio M.
Опубликовано: (2013)
по: Focardi, Sergio M.
Опубликовано: (2013)
International financial management /
по: Madura, Jeff
Опубликовано: (2007)
по: Madura, Jeff
Опубликовано: (2007)
International financial management /
по: Madura, Jeff
Опубликовано: (1992)
по: Madura, Jeff
Опубликовано: (1992)
The new science of asset allocation risk management in a multi-asset world /
по: Schneeweis, Thomas
Опубликовано: (2010)
по: Schneeweis, Thomas
Опубликовано: (2010)
Global banking regulation and supervision what are the issues and what are the practices? /
по: Barth, James R.
Опубликовано: (2009)
по: Barth, James R.
Опубликовано: (2009)
Credit risk management practices : a case study of Equity Bank Ltd /
по: Wambui, Edwin Gakuru
Опубликовано: (2009)
по: Wambui, Edwin Gakuru
Опубликовано: (2009)
Risk management in Indian banks (policies, techniques and implementation) /
по: Bhattacharya, K. M.
Опубликовано: (2010)
по: Bhattacharya, K. M.
Опубликовано: (2010)
Value at risk and bank capital management
по: Saita, Francesco
Опубликовано: (2007)
по: Saita, Francesco
Опубликовано: (2007)
Foundations of banking risk : an overview of banking, banking risks, and risk-based banking regulation /
по: Apostolik, Richard, и др.
Опубликовано: (2009)
по: Apostolik, Richard, и др.
Опубликовано: (2009)
Financial risk management : applications in market, credit, asset and liability management and firmwide risk /
по: Skoglund, Jimmy, 1971-, и др.
Опубликовано: (2015)
по: Skoglund, Jimmy, 1971-, и др.
Опубликовано: (2015)
International financial management /
по: Madura, Jeff
Опубликовано: (2007)
по: Madura, Jeff
Опубликовано: (2007)
Risk management at the top : a guide to risk and its governance in financial institutions /
по: Laycock, Mark, 1959-
Опубликовано: (2014)
по: Laycock, Mark, 1959-
Опубликовано: (2014)
Marketing risk management within commercial banks in Kenya in response to the 2007-2008 global financial crisis /
по: Ogada, Silas Omondi
Опубликовано: (2011)
по: Ogada, Silas Omondi
Опубликовано: (2011)
Better banking : understanding and addressing the failures in risk management, governance and regulation /
по: Docherty, Adrian, 1969-
Опубликовано: (2014)
по: Docherty, Adrian, 1969-
Опубликовано: (2014)
Схожие документы
-
Risk management in banking /
по: Bessis, Joël
Опубликовано: (2015) -
Improving operational risk management
по: Grinsven, Jurgen H. M. Van
Опубликовано: (2009) -
Effect of selected financial characteristics on sensitivity to systemic risk : a case of Kenya Airways Limited /
по: Ochieng, Tobias O.
Опубликовано: (2016) -
Advanced financial risk management tools and techniques for integrated credit risk and interest rate risk management /
по: Deventer, Donald R. van
Опубликовано: (2013) -
Handbook of asset and liability management from models to optimal return strategies /
по: Adam, Alexandre
Опубликовано: (2007)