MANAGING BANKING RISKS. This item is unavailable.
Language: English
Published by ELSEVIER, 1997
- Hardcover
- New

Seller: UK BOOKS STORE, London, London, United KingdomUK BOOKS STORE
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Condition: New
£ 207.38
Item description from seller
Brand New! Fast Delivery This is an International Edition and ship within 24-48 hours. Deliver by FedEx and Dhl, & Aramex, UPS, & USPS and we do accept APO and PO BOX Addresses. Order can be delivered worldwide within 6-10 days and we do have flat rate for up to 2LB. Extra shipping charges will be requested if the Book weight is more than 5 LB. This Item May be shipped from India, United states & United Kingdom. Depending on your location and availability.
Seller Inventory # CS 9781855732063
- Title
- MANAGING BANKING RISKS
- Author
- CADE
- Publisher
- ELSEVIER
- Publication year
- 1997
- Condition
- New
- Binding
- Hardcover
- Language
- English
- ISBN 10
- 1855732068
- ISBN 13
- 9781855732063
- Edition
- International Edition
"Synopsis" may belong to another edition of this title.
From the Back Cover
The book begins by defining risk itself and discussing how it can be approached in a banking context. It goes on to examine the concepts of volatility, expected and unexpected loss, the role of risk capital, rate of return and the required reward for risk (the 'cost of capital'). The author identifies five generic types of primary banking risk and one universal secondary type. Each of these is explored in turn from solvency and liquidity risks to credit risk, interest rate risk, price risks and operating risks. This treatment gives the reader an insight into modern risk management and hedging techniques, and many other relevant topics. Legal and regulatory issues and constraints are considered within an international frame of reference. The book offers practical guidance on the role of a bank's board and executive management, organisation and co-ordination of risk management.
"About the title" may belong to another edition of this title.