Analyzing banking risk : a framework for assessing corporate governance and financial risk management / Hennie van Greuning, Sonja Brajovic Bratanovic.
Material type:
- Texto
- Sin mediación
- Volumen
- 082134417X
- 332.1 G73a 21
- D81
- G21
- G30
Item type | Home library | Call number | Vol info | Status | Notes | Date due | Barcode | Item holds | |
---|---|---|---|---|---|---|---|---|---|
LIBRO FISICO | Biblioteca Principal | 332.1 G73a (Browse shelf(Opens below)) | Ejemplar 1 | Available | Mantener en colección. | 29004018998137 |
1. Analyzing banking risk -- 2. A context for the risk-based review of banks -- 3. Key players in the corporate governance and risk management process -- 4. Balance sheet structure and management -- 5. Profitability -- 6. Capital adequacy -- 7. Credit risk management -- 8. Liquidity risk management -- 9. Interest rate risk management -- 10. Market risk management -- 11. Currency risk management -- 12. Transparency in the financial statements of banks -- 13. The relationship between risk analysis and bank supervision.
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