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Risk management in banking - Joel Bessis

9780471974666
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Title
Risk management in banking
Author
Joel Bessis
format
Paperback / softback
Publisher
John Wiley & Sons, Inc.
Language
English
UK Publication Date
19971204

Risk Management in Banking Jol Bessis Risk management and efficient asset allocation are the watchwords of modern banking
not only for profitability and security, but also to comply with the increasingly stringent international regulations laid down by the Bank for International Settlements. Risk Management in Banking examines all aspects of financial risk management in banking, from global considerations right down to the fundamental aspects of the management of a particular profit centre. The author emphasises the need to understand conceptual and implementation issues of risk management, and examines the latest techniques and practical issues, including

Value at risk (VAR)

Riskbased capital (Capital At Risk)

Asset liability management (ALM)

Loan portfolio management

Credit risk

Market risk

Interest rate risk

Liquidity risk

Funds transfer pricing

Capital allocation
Questions such as: "How do we implement a risk management system?" and "What is the practical potential of banking risk management techniques?" are answered, making Risk Management in Banking an essential text for MBA students, practitioners in banking and financial services, bank regulators and auditors.

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Type
BOOK
Keyword Index
Bank management.|Banks and banking.|Risk management.
Country of Publication
England
Number of Pages
574

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