Éditeur : MCGRAW-HILL
ISBN papier: 70914354
Code produit : 1270957
Catégorisation :
Livres /
Gestion /
Finance /
Risque financier
Format | Qté. disp. | Prix* | Commander |
---|---|---|---|
Livre papier | En rupture de stock** |
Prix membre : 105,40 $ Prix non-membre : 110,95 $ |
*Les prix sont en dollars canadien. Taxes et frais de livraison en sus.
**Ce produits est en rupture de stock mais sera expédié dès qu'ils sera disponible.
The third Canadian edition of Saunders, Financial Institutions Management: A Risk Management Approach is an adaptation of the new US 5th edition and introduces our new Canadian author, Pat McGraw, from Ryerson University. This new edition stands out among competitors as a robust text, covering topics in greater detail, offering plenty of exercises for 3rd or 4th year Business students majoring in Finance, and for MBA students. The focus of Saunders is on measurement and management of Financial Institutions risk in a Canadian and global setting. While there are different categories of FIs (banks, insurance companies, financial institutions), they all face the following risks: 1. Default or credit risk of assets 2. Interest rate risk caused by maturity mismatches between assets and liabilities 3. Liability withdrawal or liquidity risk 4. Underwriting risk 5. Operating cost risks These risks are examined in the text with a specific focus on how managers are measuring and managing these risks to produce the best return-risk trade-off for shareholders.
Livre papier | 0 |
Prix membre : 99,70 $ Prix non-membre : 104,95 $ |
Éditeur : MCGRAW-HILL
ISBN : 70871566
Parution : 2001