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【銀行業のリスクマネジメント 第4版】

Risk Management in Banking 4e, 4th ed. '15

Bessis, Joël  著

在庫状況 海外在庫有り  お届け予定日 20日間  数量 冊 
価格 特価  \12,973(税込)         

発行年月 2015年06月
出版社/提供元
出版国 イギリス
言語 英語
媒体 冊子
装丁 paper
ページ数/巻数 376 p.
ジャンル 洋書/社会科学/経済学/金融経済学
ISBN 9781118660218
商品コード 1014901189
本の性格 学術書
新刊案内掲載月 2015年06月
商品URL
参照
https://kw.maruzen.co.jp/ims/itemDetail.html?itmCd=1014901189

内容

THE SEMINAL GUIDE TO RISK MANAGEMENT REVISED AND UPDATED Now in its fourth edition, Risk Management in Banking is the industry's seminal reference that offers a comprehensive review of all aspects in the field. The text covers a complete range of risk topics in banking including asset liability management, risk–based capital, value at risk, loan portfolio management, capital allocation, and other fundamental risk factors. All these topics are examined within the new mindset inspired by the financial crisis. This practical guide contains the latest information on topics such as: ALM, Basel 3, liquidity analysis, market risk, credit risk, derivatives, structured products, securitizations, and more. NEW WORKBOOK Risk Management in Banking??Workbook (ISBN 9781118925652) reinforces the material from a practical perspective, featuring chapter–by–chapter sample questions and makes the material more accessible to both students and practitioners. NEW COMPANION WEBSITE Visit www.wiley.com/go/Bessis for per–chapter slides and illustrative examples utilizing an easy–to–follow and modular approach for students, as well as Excel–based solutions from the Workbook's questions. In Risk Management in Banking, Fourth Edition professionals will discover an easily navigable resource that is filled with the research and practices that reflect the most recent changes in the field.

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