ISBN-13: 9781579581862 / Angielski / Twarda / 2000 / 250 str.
First Published in 2000. Routledge is an imprint of Taylor & Francis, an informa company.
Chapter 1 Risk and reward; Chapter 2 What are the banking risks?; Chapter 3 Solvency risk; Chapter 4 Liquidity risk; Chapter 5 Credit risk: policy overview; Chapter 6 Credit risk: analysing the portfolio; Chapter 7 Credit risk: changing the portfolio; Chapter 8 Interest rate risk: structural exposure; Chapter 9 Interest rate risk: trading exposure; Chapter 10 Price risks; Chapter 11 Operating risks; Chapter 12 Conclusion: organising risk management;
Cade, Eddie
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