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paperback. Condition: New. Ship out in 2 business day, And Fast shipping, Free Tracking number will be provided after the shipment.Paperback. Pub Date :2012-07-01 Pages: 400 Publisher: People's Posts and Telecommunications Press Welcome to Our service and quality to your satisfaction. please tell your friends around. Thank you for your support and look forward to your service QQ: 11.408.523.441 We sold the books are not tax price. For invoices extra to eight percent of the total amount of the tax point. Please note in advance. After payment. within 48 hours of delivery to you. Do not frequent reminders. if not the recipient. please be careful next single. OUR default distribution for Shentong through EMS. For other courier please follow customer instructions. The restaurant does not the post office to hang brush. please understand. Using line payment. must be in time for the payment to contact us. Stock quantity is not allowed. Specific contact customer service. 6. Restaurant on Saturday and Sunday. holidays. only orders not shipped. The specific matters Contact Customer Service. Basic Information Title: Financial risk management (5th edition) Price: 68.00 yuan price: 54.40 yuan you save 13.60 yuan discount: 80% off Author: Anthony Saunders. Marcia ? Mirren ? Cornett book Wang Zhonghua. Army translated Publishing: People's Posts and Telecommunications Press Publication Date :2012-7-1ISBN: 9787115283009 words: 750.000 yds: 400 Revision: 1 Binding: Paperback: 16 Product size and weight: Editor's Choice Financial Risk Management (fifth edition) is a the authoritative international finance expert Anthony of Sanders and special co-authored. Financial Risk Management English Books in foreign countries has been dominated by the leadership of the finance professional basic teaching materials. Financial Risk Management Unlike traditional textbooks as the core of the balance. according to industry analysis. but from the point of view of risk management. analysis of financial institutions. like other AG as the pursuit of Lishui maximize. The Summary Financial Risk Management (5) adapted from the the international authority finance expert Professor Anthony Sanders. Professor and special co-authored financial institutions management - a risk management approach (Financial Institutions Management: ARisk ManagementApproach) 5 in translation. Financial Risk Management (5th edition) is a clear structure. large capacity information. the contents of the new and easy to understand. and integration of the teaching methods of the risks faced by financial institutions managers. as well as the management of these risk-based approach and the market made a comprehensive and detailed analysis. Financial Risk Management (5th edition) of 23 chapters. including: interest rate risk. market risk. credit risk. off-balance sheet risk. foreign exchange risk. sovereign risk. liquidity risk. liability and liquidity management. business diversification. domestic and foreign geographical dispersion. futures and forward transactions. swaps and securitization. Other special services of financial intermediaries particularity of Contents Chapter 1 Introduction The financial intermediary institutions particularity information cost liquidity risk and price risk other aspects of the special nature of the conduction of monetary policy. credit allocation between intergenerational transfer of wealth or time intermediary to pay service denomination intermediary regulatory supervision of credit allocation of monetary policy particularity and regulatory safety and soundness regulatory consumer protection regulatory Introduction investor protection regulatory access regulation exercises Chapter 2 financial intermediary institutions risk Interest rate risk Market risk Credit risk table Chapter 3 of the technical risk and operational risk Foreign exchange risk. country risk or sovereign risk liquidity risk bankruptcy risk other risks and risk interactions between exercises interest rate risk I Introduction. Seller Inventory # FQ013014