Apraksts

Greuning, Hennie van.  Analyzing Banking Risk : A Framework for Assessing Corporate Governance and Risk Management / Hennie Van Greuning, Sonja Brajovic Bratanovic. - 3rd ed. - Washington : The World Bank, 2009. - XVI, 422 p.
        ISBN 9780821377284.
        Banku uzraudzība. Risks. Bilance. Kapitāls. Kredītrisks. Likviditāte. Procentu likme. Valūtas operācijas. Menedžments.

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Bibliotēka 01.2 1 Izdota lasītājam uz mājām Izsniegts līdz 06.06.2018

Anotācija


1   Overview of Banking Risks   1
2   A Framework for Risk Analysis   13
3   Corporate Governance   41
4   Balance Sheet Structure   81
5   Income Statement Structure   101
6   Capital Adequacy   121
7   Credit Risk Management   161
8   Liquidity Risk Management   191
9   Managing Liquidity and Other Investment Portfolios   215
10   Market Risk Management   227
11   Currency Risk Management   255
12   Asset-Liability Management   277
13   Operational Risk Management in a Treasury Environment   293
14   Transparency and Data Quality   339
15   A Risk-Based Approach to Bank Supervision   357
App. A   Questionnaire: Analytical Review of Banks   379
App. B   Summary of Core Principles Evaluation   413
App. C   Basel Core Principles for Effective Banking Supervision October 2006   417
    Boxes    
    Figures    
    Tables

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