Financial institutions management : A risk management approach / by Anthony Saunders
Material type:
- 978-1-266-13822-5
- Eleventh edition BCir. 332.1068 Sa871
Item type | Home library | Call number | Status | Date due | Barcode | |
---|---|---|---|---|---|---|
Bansalan Circulation1 | UM Bansalan College LIC | BCir. 332.1068 Sa871 2024 (Browse shelf(Opens below)) | Available | 8753 |
Includes index.
Contents: Why are financial institutions special?--Financial services: depository institutions--Financial services: finance companies--Financial services: securities firms and investment banks--Financial services: insurance companies--Risks of financial institutions--Interest rate risk 1--Interest rate risk 2--Credit risk: individual loan risk--Credit risk: loan portfolio and concentration risk--Liquidity risk--Foreign exchange risk--Sovereign risk--market risk--Off-balance-sheet risk--Technology and other operational risks--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--Loan sales--Securitization.
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