Analizing banking risk : a framework for assessing corporate governance and risk management / Hennie van Greuning, Sonja Brajovic Bratanovic.
Tipo de material: TextoWashington : World Bank, 2009Edición: 3a. ediciónDescripción: xiv, 422 páginas : figures ; 24 cmISBN: 9780821377284Tema(s): ADMINISTRACION DE BANCOS | Ahorro e inversión | CORPORATIVISMO | RIQUEZAClasificación CDD: 332.1
Contenidos parciales:
Overview of Banking Risks. A framework for Risk analysis. Corporate governance. Balance sheet structure. Income statement structure. Capital adequacy. Credit risk management. Liquidity risk management. Managing liquidity and other investiment porfolios. Market rist management. Asset-liability management. Operational rist management in a treasury a treasury environment. Transparency and data Quality. A risk-based approach to Bank Supervision.
Tipo de ítem | Biblioteca actual | Signatura | Copia número | Estado | Fecha de vencimiento | Código de barras |
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Libros General | Biblioteca General Primer Piso - Sala General | 332.1 G836A (Navegar estantería(Abre debajo)) | Ej. 1 | Disponible (Acceso Disponible) | 39983002201175 |
Overview of Banking Risks. A framework for Risk analysis. Corporate governance. Balance sheet structure. Income statement structure. Capital adequacy. Credit risk management. Liquidity risk management. Managing liquidity and other investiment porfolios. Market rist management. Asset-liability management. Operational rist management in a treasury a treasury environment. Transparency and data Quality. A risk-based approach to Bank Supervision.
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