Financial institutions management : a risk management approach / Anthony Saunders, Marcia Millon Cornett
By: Saunders, Anthony [author].
Contributor(s): Cornett, Marcia Millon [author].
Material type:![materialTypeLabel](/opac-tmpl/lib/famfamfam/BK.png)
Item type | Current location | Collection | Call number | Status | Date due | Barcode | Item holds |
---|---|---|---|---|---|---|---|
Book | Main Library Reference Section | Reference | R 332.10973 Sa257f 2011 (Browse shelf) | Room use only | 32141QC |
Browsing Main Library Shelves , Shelving location: Reference Section , Collection code: Reference Close shelf browser
R 332.03 N532 1992 The new Palgrave dictionary of money & finance | R 332.03 N532 1992 The new Palgrave dictionary of money & finance | R 332.1 M183f 2018 Financial markets and institutions | R 332.10973 Sa257f 2011 Financial institutions management | R 332.6 R682t 2020 Technical analysis for dummies | R 332.632042 B873m 2006 Mastering technical analysis | R 332.6324 B347r 2015 Real estate investment |
Includes index.
Why are financial institutions special?
Financial services: depository institutions
Financial services : insurance
Financial services : securities brokerage and investment banking
Financial services : mutual funds and hedge funds
Financial services : finance companies
Risks of financial institutions
Interest rate risk I
Interest rate risk II
Market risk
Credit risk : individual loan risk
Credit risk : loan portfolio and concentration risk
Off-balance-sheet risk
Foreign exchange risk
Sovereign risk
Technology and other operational risks
Liquidity risk
Liability and liquidity management
Deposit insurance and other liability guarantees
Capital adequacy
Product and geographic expansion
Futures and forwards
Options, caps, floors, and collars
Swaps
Loan sales
Securitization
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