Risk management in banking
Furkejuvvon:
| Váldodahkki: | |
|---|---|
| Searvvušdahkki: | |
| Materiálatiipa: | Elektrovnnalaš E-girji |
| Giella: | eaŋgalasgiella |
| Almmustuhtton: |
Chichester, U.K. :
John Wiley,
2010.
|
| Preanttus: | 3rd ed. |
| Fáttát: | |
| Liŋkkat: | An electronic book accessible through the World Wide Web; click to view |
| Fáddágilkorat: |
Eai fáddágilkorat, Lasit vuosttaš fáddágilkora!
|
Sisdoallologahallan:
- section 1. The financial crisis
- section 2. Business lines, risks, and risk management
- section 3. Financial products
- section 4. Valuation
- section 5. Risk modeling
- section 6. Regulations
- section 7. Asset liability management (ALM)
- section 8. Funds transfer pricing systems
- section 9. Dependencies and portfolio risk
- section 10. Market risk
- section 11. Credit risk : standalone
- section 12. Credit portfolio risk
- section 13. Capital allocation
- section 14. Risk-adjusted performance
- section 15. Credit portfolio management
- section 16. Conclusion and financial reforms.