Financial Risk Management in Banking: The Theory and Application of Asset and Liability Management

Regular price RM145.00 MYR
Unit price
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Practical guide to banking risk and asset management.

If you're navigating the complex world of finance, especially within banking institutions, this book can serve as a vital blueprint. It breaks down the intimidating realm of Asset and Liability Management into digestible pieces, connecting the dots between theory and real-world applications. Currency and international fund risks, which could otherwise seem like a maze, are addressed in practical terms, making it an essential read for a hands-on approach to financial risk management.

Note: While we do our best to ensure the accuracy of cover images, ISBNs may at times be reused for different editions of the same title which may hence appear as a different cover.

Financial Risk Management in Banking: The Theory and Application of Asset and Liability Management

Regular price RM145.00 MYR
Unit price
per
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ISBN: 9781557383532
Publisher: McGraw-Hill
Date of Publication: 1992-11-01
Format: Hardcover
Related Collections: Business, Economics
Related Topics: Finance, Management, Finance, Money
Goodreads rating: 2.67
(rated by 3 readers)

Description

An in-depth review of the tremendous risk and volatility in bank financial management. Financial Risk Management in Banking provides a practical and comprehensive overview of aggressive asset and liability management (ALM) which highlights the nuances that set ALM apart from basic financial concepts and practices as they are taught even at the MBA level. It demonstrates how ALM can strengthen the capital position of today's financial institution. Topics include: how accounting concepts can interfere with ALM; currency and international funds risk; the multi-dimensional aspects of bank financial risk; the relationship between cash flow, market value and risk.
 

Practical guide to banking risk and asset management.

If you're navigating the complex world of finance, especially within banking institutions, this book can serve as a vital blueprint. It breaks down the intimidating realm of Asset and Liability Management into digestible pieces, connecting the dots between theory and real-world applications. Currency and international fund risks, which could otherwise seem like a maze, are addressed in practical terms, making it an essential read for a hands-on approach to financial risk management.

Note: While we do our best to ensure the accuracy of cover images, ISBNs may at times be reused for different editions of the same title which may hence appear as a different cover.