Risk Management in Banking
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Risk Management in Banking

Joël Bessis

Rok vydania: 2010

Vydavateľ: Wiley

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O knihe:

Examines various aspects of financial risk management in banking, from global considerations to the fundamental aspects of management of a particular profit center. This book includes chapters on credit models based on time intensity models, usage of copulas, and implementing risk systems.This new edition of Joel Bessis' highly successful "Risk Management in Banking" has been fully revised and updated to reflect new developments, the latest research, and changes in current practice. It considers all aspects of risk management, including: asset liability management, risk-based capital, value at risk, loan portfolio management, credit risk, market risk, interest rate risk, liquidity risk, fund transfer pricing, and capital allocation. Completely revised and updated, the text includes new chapters on credit models based on time intensity models, usage of copulas, and implementing risk systems.

Podrobnosti o titule (výrobné údaje):

Vydavateľstvo: Wiley

Rok vydania: 2010

Vydanie: 3

Počet strán: 821

Formát: 170 x 245

ISBN: 978-0-470-01913-9

(9780470019139)

EAN: 9780470019139

Väzba: mäkká, bez prebalu

Orientačná váha: 1359 g

Jazyk: en