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Analyzing Banking Risk
Analyzing Banking Risk
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Analyzing Banking Risk

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Navigate the complexities of banking risk with this comprehensive guide. This book provides a framework for assessing corporate governance and risk management in the banking sector, offering insights for bank supervisors, financial analysts, and senior management. Learn to identify, measure, and manage credit, liquidity, market, and operational risks effectively. This third edition includes new chapters on treasury function management and reflects the latest Basel Committee on Banking Supervision guidelines. Discover how to maintain financial stability, ensure regulatory compliance, and improve corporate governance practices. - Understand the Basel Accords and capital adequacy requirements- Implement effective internal controls and risk assessment processes- Analyze financial statements and assess bank performancePerfect for those responsible for bank analysis and senior management seeking to enhance their understanding of banking risk.
Undertittel
A Framework for Assessing Corporate Governance and Risk Management
ISBN
9780821378984
Språk
Engelsk
Utgivelsesdato
31.3.2009
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  • Epub - Adobe DRM
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