Financial institutions management : a risk management approach (Record no. 39754)
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000 -LEADER | |
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fixed length control field | 01946nam a2200229 a 4500 |
020 ## - INTERNATIONAL STANDARD BOOK NUMBER | |
ISBN | 9780071233040 |
020 ## - INTERNATIONAL STANDARD BOOK NUMBER | |
ISBN | 0071233040 |
082 ## - DEWEY DECIMAL CLASSIFICATION NUMBER | |
Classification number | 332.1 |
Item number | SAU |
100 ## - MAIN ENTRY--AUTHOR NAME | |
Personal name | Saunders, Anthony |
245 ## - TITLE STATEMENT | |
Title | Financial institutions management : a risk management approach |
250 ## - EDITION STATEMENT | |
Edition statement | 4th ed. |
260 ## - PUBLICATION, DISTRIBUTION, ETC. (IMPRINT) | |
Place of publication | Boston : |
Name of publisher | McGraw-Hill/Irwin, |
Year of publication | ©2003. |
300 ## - PHYSICAL DESCRIPTION | |
Number of Pages | xxii, 778 pages : |
Other physical details | illustrations ; |
490 ## - SERIES STATEMENT | |
Series statement | McGraw-Hill/Irwin series in finance, insurance, and real estate. |
500 ## - GENERAL NOTE | |
General note | Includes index |
505 ## - FORMATTED CONTENTS NOTE | |
Formatted contents note | Part 1 Introduction: why are financial intermediaries special?; the financial services industry - depository institutions; the financial services industry - insurance companies; the financial services industry - securities firms and investment banks; the financial services industry - mutual funds, the financial services industry - finance companies; risks of financial intermediation. Part 2 Measuring risk: interest rate risk 1; interest rate risk 2; market risk; credit risk - individual loan risk; credit risk - loan portfolio and concentration risk; off-balance sheet activities; technology and other operational risks; foreign exchange risk; sovereign risk; liquidity risk. Part 3 Managing risk: liability and liquidity management; deposit insurance and other liability guarantees; capital adequacy; product diversification; geographic diversification - domestic; geographic diversification - international; futures and forwards; options, caps, floors and collars; swaps; loan scales and other credit management techniques; securitization. |
520 ## - SUMMARY, ETC. | |
Summary, etc | 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. |
650 ## - SUBJECT ADDED ENTRY--TOPICAL TERM | |
Topical Term | Risk management. |
650 ## - SUBJECT ADDED ENTRY--TOPICAL TERM | |
Topical Term | Financial institutions |
700 ## - ADDED ENTRY--PERSONAL NAME | |
Personal name | Cornett, Marcia Millon |
942 ## - ADDED ENTRY ELEMENTS (KOHA) | |
Koha item type | Reference Books |
Collection code | Home library | Current library | Shelving location | Date acquired | Source of acquisition | Cost, normal purchase price | Full call number | Accession Number | Koha item type |
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Reference | Main Library | Main Library | Reference | 17/03/2008 | Purchased | 6950.00 | 332.1 SAU | 011011 | Reference Books |