Financial institution management : a risk management approach / Anthony Saunders and Marcia Millon Sornett
Material type:

Item type | Current library | Home library | Collection | Shelving location | Call number | Copy number | Status | Date due | Barcode |
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LRC - Annex II | National University - Manila | Gen. Ed. - CBA | General Circulation | GC HG 181 .S28 2011 (Browse shelf (Opens below)) | c.1 | Available | NULIB000009660 |
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GC HG 181 .K53 2012 c.4 Financial institutions, markets, and money / | GC HG 181 .R67 2008 Money and capital markets financial institutions and instruments in a global marketplace / | GC HG 181 .R67 2013 Bank management and financial services / | GC HG 181 .S28 2011 Financial institution management : a risk management approach / | GC HG 1811 .J66 2014 Understanding central banking : the new era of activism / | GC HG 1811 .S65 1995 The Confidence game : how unelected central bankers are governing the changed global economy | GC HG 221 .C33 2011 c.1 Money, Banking, and Financial markets / |
Includes index.
Part One. Introduction -- Part Two. Measuring risk -- Part Three. Managing risk.
This text focuses on managing return and risk in modern financial institutions. The central theme is that the risks faced by managers and the methods and markets through which these risks are managed are becoming increasingly similar.
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