Risk Management, Insurance & Finance Industries - Management, Financial Industries - General & Miscellaneous
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Overview
This text takes the same innovative approach as the first edition,focusing on managing: return and risk in modern financial institutions. The book's central theme is that the risks faced by financial institutions managers,and the methods and markets through which these risks are managed,are becoming increasingly similiar whether the institution is chartered as a commercial bank,a savings bank,investment bank,or an insurance company. Financial Institutions; Financial Institutions and Markets; Money and Capital Markets,and Commercial Bank Management at both upper-level undergraduate and MBAlevel. The book will appeal to faculty who teach their course with a strong strategic and analytical component.Book Details
Published
October 1, 1996
Publisher
Irwin Professional Publishing
Pages
672
Format
Hardcover
ISBN
9780256153675