Financial institutions management: a risk management approach / Anthony Saunders and Marcia Million Cornett.

By: Contributor(s): Cornett, Marcia MillionMaterial type: TextTextPublisher: New York : McGraw-Hill / Irwin, 2011Edition: 7th edDescription: xxii, 884 p. : ill. ; 26cmISBN: 9780071289559LOC classification: HG181.S33(7e)
Contents:
Contents: Part One: Introduction: Why are financial institutions special? -- Financial services: depository institutions -- Financial services: securities brokerage and investment banking -- Financial services: mutual funds and hedge funds -- Financial services: finance companies -- Risks of financial institutions -- Part Two: Measuring risk: Interest rate risk I -- Interest rate risk II -- Market risk -- Credit risk: individual loan risk -- Credit risk: loan portfolio and concentration -- Off-balance risk -- Foreign exchange risk -- Sovereign risk -- Technology and other operational risks -- Liquidity risk -- Part III: Managing risk: Liability and liquidity management -- Deposit insurance and other liability guarantees -- Capital adequacy -- Product and geographic expansion -- Futures and forwards -- Options, caps, floors, and collars -- Swaps -- Loans sales -- Securitization.
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Books Books WISCONSIN INTERNATIONAL UNIVERSITY COLLEGE, GHANA - MAIN LIBRARY
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WISCONSIN INTERNATIONAL UNIVERSITY COLLEGE, GHANA - MAIN LIBRARY
HG181.S33(7e) (Browse shelf) 1 Available 9473/174/23
Books Books WISCONSIN INTERNATIONAL UNIVERSITY COLLEGE, GHANA - MAIN LIBRARY
General Stacks
WISCONSIN INTERNATIONAL UNIVERSITY COLLEGE, GHANA - MAIN LIBRARY
HG181.S331(7e) (Browse shelf) 2 Available 9474/175/23

Includes index.

Contents: Part One: Introduction: Why are financial institutions special? -- Financial services: depository institutions -- Financial services: securities brokerage and investment banking -- Financial services: mutual funds and hedge funds -- Financial services: finance companies -- Risks of financial institutions -- Part Two: Measuring risk: Interest rate risk I -- Interest rate risk II -- Market risk -- Credit risk: individual loan risk -- Credit risk: loan portfolio and concentration -- Off-balance risk -- Foreign exchange risk -- Sovereign risk -- Technology and other operational risks -- Liquidity risk -- Part III: Managing risk: Liability and liquidity management -- Deposit insurance and other liability guarantees -- Capital adequacy -- Product and geographic expansion -- Futures and forwards -- Options, caps, floors, and collars -- Swaps -- Loans sales -- Securitization.

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