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The third edition of 'Analyzing Banking Risk' provides a comprehensive overview of topics dealing with the assessment, analysis, and management of financial risks in banking.The publication emphasizes risk-management principles and stresses that key players in the corporate governance process are accountable for managing the different dimensions of financial risk.This third edition remains faithful to the objectives of the original publication. A significant new addition is the inclusion of chapters on the management of the treasury function. Advances made by the Basel Committee on Banking Sup
Bank management. --- Corporate governance. --- Financial risk management. --- Bank management --- Risk management --- Corporate governance --- Finance --- Management --- Business & Economics --- Banking --- Management Styles & Communication --- Risk management. --- Governance, Corporate --- Banks and banking --- Industrial management --- Directors of corporations --- Insurance
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Private finance --- Financial management --- Bank management. --- Risk management. --- Corporate governance. --- Bank management --- Corporate governance --- Risk management --- 332.10681 --- 333.109 --- 333.130.0 --- AA / International- internationaal --- Governance, Corporate --- Industrial management --- Directors of corporations --- Insurance --- Management --- Banks and banking --- Veiligheid. Bankovervallen. Bankrisico's --- Private banken: algemeen. Studies over de organisatie en de techniek van de banken
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Bank management --- Corporate governance --- Financial risk management --- 333.109 --- 333.130.0 --- AA / International- internationaal --- 336.71 --- Governance, Corporate --- Industrial management --- Directors of corporations --- Banks and banking --- Management --- 336.71 Bankwezen --- Bankwezen --- Risk management --- Veiligheid. Bankovervallen. Bankrisico's --- Private banken: algemeen. Studies over de organisatie en de techniek van de banken --- Private finance --- International financial management
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AA / International- internationaal --- 333.130.0 --- 333.109 --- Private banken: algemeen. Studies over de organisatie en de techniek van de banken. --- Veiligheid. Bankovervallen. Bankrisico's. --- Private finance --- Financial management --- Private banken: algemeen. Studies over de organisatie en de techniek van de banken --- Veiligheid. Bankovervallen. Bankrisico's
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Bank management. --- Corporate governance. --- Financial risk management.
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El libro 'Analisis del riesgo bancario' aporta una vision integral sobre temas como la evaluacion, el analisis y la gestion de riesgos financieros en la banca. Esta publicacion recalca los principios de gestion de riesgo y hace hincapie en que los elementos clave del proceso de gobernabilidad corporativa son responsables de la administracion de las diferentes dimensiones del riesgo financiero. Esta tercera edicion aporta ademas, capitulos referentes a la gestion de la funcion de tesoreria. Los avances del Comite de Basilea sobre Supervision Bancaria se ven reflejados en los capitulos sobre suficiencia de capital, transparencia y supervision bancaria.
Assessing Corporate Governance --- Banking Risk --- Banks --- Financial Risk Management --- Proprietary Trading
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"Many models exist for analyzing risk of banks and other corporate entities. This publication aims to complement existing methodologies by establishing a comprehensive framework for the assessment of banks, not only by using financial data but also by considering corporate governance. It takes as axiomatic that each of the key players in the corporate governance process (such as shareholders, directors, executive managers, and internal and external auditors) is responsible for some component of financial and operational risk management. This fourth edition of Analyzing Banking Risk remains faithful to the objectives of the original. The additions include new capital and financial risk management aspects, such as Basel III capital adequacy aspects, as well as the new operational risk management topics such as cybercrime, money-laundering and outsourcing. The book specifies key principles and uses basic tools and techniques of financial risk analysis to demonstrate how data can be converted into information through graphic highlights of risk trends that can alert senior management and boards when action may be required. Given the recurring turmoil in the financial markets, this approach demonstrates the power of basic risk management principles in assisting the non-specialist director, executive, or analyst to integrate various risk areas and ensures that the interrelationships between different risk categories are clearly portrayed. The proposed framework also recognizes that some risks might be immaterial in less sophisticated environments. This publication emphasizes risk management principles and is useful to a wide body of readers. The target audiences are those responsible for the analysis of banks and for the senior management of organizations directing their efforts. Since the publication provides an overview of the spectrum of corporate governance and risk management principles, it is not aimed at the narrow technical specialist who focuses on only one particular risk management area. Since the first edition, the publication has been used for graduate courses in banking risk analysis, as well as in many risk analysis workshops"--
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Bank management --- Risk management --- Corporate governance
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