000 02225nam a22006137a 4500
999 _c390
_d390
003 OSt
005 20231103115430.0
008 150624s2011 maua|||| |||| 001 0 eng
020 _a9780071289559
040 _cQCPL
_erda
082 _a332.10973
100 1 _aSaunders, Anthony
_eauthor
245 1 0 _aFinancial institutions management
_b: a risk management approach
_c/ Anthony Saunders, Marcia Millon Cornett
250 _a7th edition
264 1 _aBoston, MA :
_bMcGraw-Hill,
_c[2011]
300 _axxii, 884 pages :
_billustrations
336 _2rdacontent
_atext
337 _2rdamedia
_aunmediated
338 _2rdacarrier
_avolume
490 _aMcGraw-Hill/Irwin series in finance, insurance, and real estate
500 _aIncludes index.
505 0 _aWhy are financial institutions special?
505 0 _aFinancial services: depository institutions
505 0 _aFinancial services : insurance
505 0 _aFinancial services : securities brokerage and investment banking
505 0 _aFinancial services : mutual funds and hedge funds
505 0 _aFinancial services : finance companies
505 0 _aRisks of financial institutions
505 0 _aInterest rate risk I
505 0 _aInterest rate risk II
505 0 _aMarket risk
505 0 _aCredit risk : individual loan risk
505 0 _aCredit risk : loan portfolio and concentration risk
505 0 _aOff-balance-sheet risk
505 0 _aForeign exchange risk
505 0 _aSovereign risk
505 0 _aTechnology and other operational risks
505 0 _aLiquidity risk
505 0 _aLiability and liquidity management
505 0 _aDeposit insurance and other liability guarantees
505 0 _aCapital adequacy
505 0 _aProduct and geographic expansion
505 0 _aFutures and forwards
505 0 _aOptions, caps, floors, and collars
505 0 _aSwaps
505 0 _aLoan sales
505 0 _aSecuritization
650 _aFinancial institutions
_zUnited States
_vManagement
650 _aRisk management
_zUnited States
650 _aFinancial services industry
_zUnited States
_vManagement
655 _2lcgft
700 1 _aCornett, Marcia Millon
_eauthor
942 _2ddc
_cBOOK